CFRUY Dividend: Compagnie Financiere Richemont SA Yield Insights
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CFRUY
Compagnie Financiere Richemont SA (CFRUY) Price
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CFRUY Financial
Compagnie Financiere Richemont SA
$0
0%
$0
$19.4
0%
$0
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Income
Balance sheet
Cash flow
Annual
Quarterly
CFRUY Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2025
03/31/2024
03/31/2023
03/31/2022
03/31/2021
Revenue
21,399
21,399
20,616
19,953
16,748
13,144
Revenue Growth (YoY)
4%
4%
3%
19%
27%
-8%
Cost of Revenue
7,080
7,080
6,580
6,237
5,572
5,343
Gross Profit
14,319
14,319
14,036
13,716
11,176
7,801
Selling, General & Admin
9,715
9,697
9,121
8,562
7,091
6,081
Research & Development
--
--
--
--
--
--
Operating Expenses
9,852
9,852
9,194
8,685
7,447
6,469
Other Non Operating Income (Expenses)
--
-18
-11
-15
-33
-34
Pretax Income
4,489
4,489
4,655
4,758
2,943
1,515
Income Tax Expense
727
727
837
847
494
226
Net Income
2,751
2,751
2,362
313
2,074
1,301
Net Income Growth
16%
16%
655%
-85%
59%
39%
Shares Outstanding (Diluted)
589.86
588.9
579.4
576.7
574.4
566.6
Shares Change (YoY)
0%
2%
0%
0%
1%
0%
EPS (Diluted)
4.66
4.67
4.07
0.54
3.61
2.29
EPS Growth
16%
15%
654%
-85%
56.99%
39%
Free Cash Flow
3,263
3,263
3,675
3,507
3,763
2,705
Free Cash Flow Per Share
5.53
5.54
6.34
6.08
6.55
4.77
Gross Margin
66.91%
66.91%
68.08%
68.74%
66.73%
59.35%
Operating Margin
20.87%
20.87%
23.48%
25.21%
22.26%
10.13%
Profit Margin
12.85%
12.85%
11.45%
1.56%
12.38%
9.89%
Free Cash Flow Margin
15.24%
15.24%
17.82%
17.57%
22.46%
20.57%
EBITDA
--
6,026
6,272
6,503
5,279
2,850
EBITDA Margin
--
28.16%
30.42%
32.59%
31.52%
21.68%
D&A For EBITDA
--
1,559
1,430
1,472
1,550
1,518
EBIT
4,467
4,467
4,842
5,031
3,729
1,332
EBIT Margin
20.87%
20.87%
23.48%
25.21%
22.26%
10.13%
Effective Tax Rate
16.19%
16.19%
17.98%
17.8%
16.78%
14.91%
Follow-Up Questions
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