TEAM INC. DL-30 (F:T9CA) — Stock Price
TEAM INC. DL-30 (F:T9CA) is currently trading at €14.20 EUR, down 2.74% today. Over the past 52 weeks, shares have ranged between €10.70 and €16.50. This page tracks TEAM INC. DL-30's live share price on the F exchange, its daily price and volume history, and — where reported — its income statement, balance sheet, cash flow statement, and earnings history. For company valuation and market capitalisation context, see market value of TEAM INC. DL-30.
TEAM INC. DL-30 (T9CA) Stock Price Chart — Daily History & Trading Volume
The chart below tracks TEAM INC. DL-30's daily closing share price and trading volume on the F exchange over the past year, giving a clear view of recent price momentum and liquidity.
TEAM INC. DL-30 Income Statement — Revenue, Profit & Earnings by Year
TEAM INC. DL-30's annual income statement shows how revenue converts into profit each fiscal year, including gross profit, operating income, EBITDA, and net income.
| Fiscal Year | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Total Revenue | €896.48 Million | €852.27 Million | €862.62 Million | €840.21 Million | €794.20 Million |
| Cost of Revenue | €664.77 Million | €629.12 Million | €651.46 Million | €638.60 Million | €616.50 Million |
| Gross Profit | €231.71 Million | €223.15 Million | €211.15 Million | €201.61 Million | €177.70 Million |
| Research & Development | — | — | — | — | — |
| SG&A | €217.64 Million | €213.01 Million | €224.43 Million | €241.40 Million | €246.21 Million |
| Total Operating Expenses | €882.41 Million | €842.14 Million | €875.89 Million | €879.99 Million | €862.71 Million |
| Operating Income | €14.07 Million | €10.14 Million | €-13.28 Million | €-39.79 Million | €-68.51 Million |
| EBITDA | — | — | — | — | — |
| EBIT | — | — | — | — | — |
| Interest Expense | €44.68 Million | €47.81 Million | €55.18 Million | €85.05 Million | €46.08 Million |
| Income Before Tax | €-46.63 Million | €-34.99 Million | €-71.14 Million | €-146.78 Million | €-176.07 Million |
| Income Tax Expense | — | — | — | — | — |
| Net Income | €-49.21 Million | €-38.27 Million | €-75.72 Million | €70.08 Million | €-186.02 Million |
TEAM INC. DL-30 Balance Sheet — Assets, Liabilities & Shareholder Equity
The balance sheet below summarizes TEAM INC. DL-30's financial position at each fiscal year-end — what it owns (assets), what it owes (liabilities), and the resulting shareholder equity.
| Fiscal Year | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Total Assets | €485.45 Million | €528.37 Million | €565.74 Million | €616.64 Million | €706.54 Million |
| Total Current Assets | €266.40 Million | €305.10 Million | €322.10 Million | €347.55 Million | €402.29 Million |
| Cash & Equivalents | — | — | — | — | — |
| Short-term Investments | — | — | — | — | — |
| Net Receivables | €143.92 Million | €145.74 Million | €151.32 Million | €160.57 Million | €142.97 Million |
| Inventory | €41.38 Million | €37.87 Million | €38.85 Million | €36.33 Million | €35.38 Million |
| Property, Plant & Equipment | — | — | — | — | — |
| Goodwill | — | — | — | — | €25.24 Million |
| Total Liabilities | €509.93 Million | €526.63 Million | €520.15 Million | €498.88 Million | €654.68 Million |
| Total Current Liabilities | €120.06 Million | €171.25 Million | €174.94 Million | €448.86 Million | €188.27 Million |
| Long-term Debt | €293.34 Million | €318.63 Million | €306.21 Million | €4.94 Million | €405.18 Million |
| Net Debt | €279.06 Million | €289.57 Million | €276.00 Million | €227.86 Million | €350.66 Million |
| Total Stockholder Equity | €-24.48 Million | €1.74 Million | €45.60 Million | €117.76 Million | €51.87 Million |
| Retained Earnings | €-464.88 Million | €-415.67 Million | €-377.40 Million | €-301.68 Million | €-375.58 Million |
TEAM INC. DL-30 Cash Flow Statement — Operating, Investing & Financing Activities
This cash flow statement breaks down how TEAM INC. DL-30 generates and spends cash across operating, investing, and financing activities each fiscal year, including free cash flow and capital expenditures.
| Fiscal Year | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Operating Cash Flow | €-11.35 Million | €22.77 Million | €-10.99 Million | €-57.94 Million | €-35.45 Million |
| Capital Expenditures | €9.29 Million | €9.46 Million | €10.43 Million | €24.69 Million | €17.61 Million |
| Free Cash Flow | €-20.64 Million | €13.30 Million | €-21.42 Million | €-82.62 Million | €-53.06 Million |
| Investing Cash Flow | — | — | — | — | — |
| Financing Cash Flow | €2.81 Million | €-12.75 Million | €-1.90 Million | €-191.97 Million | €91.85 Million |
| Dividends Paid | — | — | — | — | — |
| Stock-Based Compensation | €795.00K | €2.27 Million | €1.59 Million | €247.00K | €7.01 Million |
| Depreciation | €34.08 Million | €36.30 Million | €37.87 Million | €37.59 Million | €41.52 Million |
| Change in Cash | €-17.40 Million | €118.00K | €-22.65 Million | €-7.24 Million | €40.73 Million |
TEAM INC. DL-30 Earnings History — EPS Actual vs. Analyst Estimates
Track TEAM INC. DL-30's quarterly earnings per share (EPS) against Wall Street estimates, along with the earnings surprise percentage for each reporting period.
| Report Date | EPS Actual | EPS Estimate | Surprise |
|---|---|---|---|
| May 13, 2026 | — | — | — |
| Mar 19, 2026 | — | — | — |
| Nov 10, 2025 | — | — | — |
| Aug 06, 2025 | — | — | — |
| May 12, 2025 | — | — | — |
| Mar 05, 2025 | — | — | — |
| Nov 07, 2024 | — | — | — |