DVCMY Dividend: Davide Campari Milano NV Yield Insights
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DVCMY
Davide Campari Milano NV (DVCMY) Price
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DVCMY Financial
Davide Campari Milano NV
$6.71
0.87%
$0.05
$6.71
0%
$0
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Income
Balance sheet
Cash flow
Annual
Quarterly
DVCMY Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
12/31/2020
Revenue
3,739
3,069
2,918
2,697
2,172
1,772
Revenue Growth (YoY)
25%
5%
8%
24%
23%
-4%
Cost of Revenue
1,545
1,303
1,218
1,109
875
746
Gross Profit
2,194
1,766
1,700
1,588
1,296
1,025
Selling, General & Admin
1,363
1,040
1,043
980
826
669
Research & Development
--
25
--
--
--
--
Operating Expenses
1,413
1,112
1,085
1,026
873
722
Other Non Operating Income (Expenses)
-9
-8
-10
-10
-4
13
Pretax Income
345
255
466
475
388
209
Income Tax Expense
57
63
134
143
105
22
Net Income
295
201
330
333
284
187
Net Income Growth
-11%
-39%
-1%
17%
52%
-39%
Shares Outstanding (Diluted)
1,214.11
1,250.65
1,139.17
1,140.22
1,146.28
1,156.25
Shares Change (YoY)
-1%
10%
0%
-1%
-1%
-1%
EPS (Diluted)
0.25
0.17
0.29
0.29
0.24
0.16
EPS Growth
-12%
-41%
-1%
18%
53%
-38%
Free Cash Flow
320
210
-158
25
337
187
Free Cash Flow Per Share
0.26
0.16
-0.13
0.02
0.29
0.16
Gross Margin
58.67%
57.54%
58.25%
58.88%
59.66%
57.84%
Operating Margin
20.86%
21.3%
21.07%
20.8%
19.47%
17.09%
Profit Margin
7.88%
6.54%
11.3%
12.34%
13.07%
10.55%
Free Cash Flow Margin
8.55%
6.84%
-5.41%
0.92%
15.51%
10.55%
EBITDA
923
781
725
651
502
381
EBITDA Margin
24.68%
25.44%
24.84%
24.13%
23.11%
21.5%
D&A For EBITDA
143
127
110
90
79
78
EBIT
780
654
615
561
423
303
EBIT Margin
20.86%
21.3%
21.07%
20.8%
19.47%
17.09%
Effective Tax Rate
16.52%
24.7%
28.75%
30.1%
27.06%
10.52%
Follow-Up Questions
Davide Campari Milano NVの主要な財務諸表は何ですか?
DVCMYの主要な財務比率は何ですか?
Davide Campari Milano NVの収益はセグメントまたは地域別にどのように分けられていますか?
Davide Campari Milano NVは収益を上げていますか?
Davide Campari Milano NVに負債はありますか?
Davide Campari Milano NVの発行済株式数は何株ですか?