OTC · Financial Statements

Character Group plc (CGROF) Financial Statements

$5.11 OTC: CGROF Market Cap $88.73M

Character Group plc most recently reported annual revenue of $100.0M, net profit of $-1.0M, revenue has compounded at -1.0% a year over the last five years. See the full income statement, balance sheet, and cash flow statement below, plus valuation and return ratios.

Annual Financials (USD)

Metric20212022202320242025
Revenue$140.0M$176.0M$123.0M$123.0M$100.0M
Operating Profit$13.0M$11.0M$5.0M$7.0M$1.0M
Net Profit$12.0M$9.0M$3.0M$5.0M$-1.0M
EPS$0.56$0.45$0.18$0.26$-0.07
Op Margin9.5%6.5%4.3%5.3%1.1%

Balance Sheet (USD)

Metric20212022202320242025
Total Assets$87.0M$93.0M$71.0M$74.0M$65.0M
Total Liabilities$42.0M$54.0M$32.0M$36.0M$32.0M
Cash$36.0M$27.0M$11.0M$15.0M$13.0M
Borrowings$2.0M$8.0M$2.0M$2.0M$1.0M

Cash Flow (USD)

Metric20212022202320242025
Operating Cash Flow$25.0M$4.0M$-3.0M$12.0M$7.0M
Investing Cash Flow$-15.0M$-8.0M$-8.0M$-4.0M$-5.0M
Financing Cash Flow$-1.0M$-14.0M$-1.0M$-3.0M$-2.0M
Net Cash Flow$17.0M$-16.0M$-10.0M$4.0M$-1.0M
Free Cash Flow$17.0M$0$-7.0M$10.0M$6.0M

Valuation & Return Ratios

MetricValue
PEG Ratio0.29
EV / EBITDA22.17
FCF Yield6.17%
Quick Ratio1.49
Interest Coverage8.60
Return 1Y2.18%
Return 3Y-1.80%
Return 5Y-35.12%

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