TMM REAL EST.DEV.GDR S 1 (F:TR61) — Stock Price

€0.06 EUR
▲ 0.00% today

TMM REAL EST.DEV.GDR S 1 (F:TR61) is currently trading at €0.06 EUR, up 0.00% today. Over the past 52 weeks, shares have ranged between €0.03 and €0.38. This page tracks TMM REAL EST.DEV.GDR S 1'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 TR61 market cap overview.

TMM REAL EST.DEV.GDR S 1 (TR61) Stock Price Chart — Daily History & Trading Volume

The chart below tracks TMM REAL EST.DEV.GDR S 1'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.

TMM REAL EST.DEV.GDR S 1 Income Statement — Revenue, Profit & Earnings by Year

TMM REAL EST.DEV.GDR S 1's annual income statement shows how revenue converts into profit each fiscal year, including gross profit, operating income, EBITDA, and net income.

Fiscal Year 202320222021
Total Revenue €19.10 Million €3.12 Million €6.58 Million
Cost of Revenue €15.10 Million €2.44 Million €5.09 Million
Gross Profit €4.00 Million €672.00K €1.48 Million
Research & Development
SG&A €119.00K €96.00K €366.00K
Total Operating Expenses €16.57 Million €3.88 Million €7.51 Million
Operating Income €2.53 Million €-769.00K €-937.00K
EBITDA
EBIT
Interest Expense €26.00K €14.00K €14.00K
Income Before Tax €2.18 Million €-2.45 Million €-481.00K
Income Tax Expense
Net Income €2.16 Million €-2.57 Million €122.00K

TMM REAL EST.DEV.GDR S 1 Balance Sheet — Assets, Liabilities & Shareholder Equity

The balance sheet below summarizes TMM REAL EST.DEV.GDR S 1's financial position at each fiscal year-end — what it owns (assets), what it owes (liabilities), and the resulting shareholder equity.

Fiscal Year 202320222021
Total Assets €21.92 Million €16.95 Million €23.22 Million
Total Current Assets €12.23 Million €5.87 Million €11.84 Million
Cash & Equivalents
Short-term Investments
Net Receivables €7.59 Million €1.20 Million €1.77 Million
Inventory €4.68 Million €4.92 Million €10.00 Million
Property, Plant & Equipment
Goodwill
Total Liabilities €19.89 Million €17.00 Million €20.01 Million
Total Current Liabilities €19.58 Million €16.75 Million €19.67 Million
Long-term Debt €272.00K €253.00K €255.00K
Net Debt €697.00K €759.00K €870.00K
Total Stockholder Equity €2.10 Million €4.00K €3.29 Million
Retained Earnings €15.17 Million €13.01 Million €15.58 Million

TMM REAL EST.DEV.GDR S 1 Cash Flow Statement — Operating, Investing & Financing Activities

This cash flow statement breaks down how TMM REAL EST.DEV.GDR S 1 generates and spends cash across operating, investing, and financing activities each fiscal year, including free cash flow and capital expenditures.

Fiscal Year 202320222021
Operating Cash Flow €95.00K €1.82 Million €581.00K
Capital Expenditures €0.00 €0.00 €0.00
Free Cash Flow €95.00K €1.82 Million €581.00K
Investing Cash Flow
Financing Cash Flow
Dividends Paid
Stock-Based Compensation
Depreciation €92.00K €71.00K €254.00K
Change in Cash €1.00K €-26.00K €29.00K

TMM REAL EST.DEV.GDR S 1 Earnings History — EPS Actual vs. Analyst Estimates

Track TMM REAL EST.DEV.GDR S 1's quarterly earnings per share (EPS) against Wall Street estimates, along with the earnings surprise percentage for each reporting period.

Earnings history is not currently available for TMM REAL EST.DEV.GDR S 1.