Financials data is unavailable for this security.
View more
Year on year Team PLC grew revenues 230.33% from 2.12m to 7.00m while net income improved from a loss of 1.52m to a smaller loss of 445.00k.
Gross margin | 76.82% |
---|---|
Net profit margin | -10.13% |
Operating margin | -9.09% |
Return on assets | -6.88% |
---|---|
Return on equity | -10.49% |
Return on investment | -8.54% |
More ▼
Cash flow in GBPView more
In 2023, Team PLC increased its cash reserves by 10.93%, or 191.00k. Cash Flow from Financing totalled 224.00k or 3.20% of revenues. In addition the company generated 32.00k in cash from operations while cash used for investing totalled 65.00k.
Cash flow per share | 0.0088 |
---|---|
Price/Cash flow per share | 21.45 |
Book value per share | 0.3355 |
---|---|
Tangible book value per share | -0.0971 |
More ▼
Balance sheet in GBPView more
Current ratio | 0.7126 |
---|---|
Quick ratio | -- |
Total debt/total equity | 0.1713 |
---|---|
Total debt/total capital | 0.1462 |
More ▼