Kofola CeskoSlovensko as (PR:KOFOL) — Stock Price

Kč502.00 CZK
▲ 0.20% today

Kofola CeskoSlovensko as (PR:KOFOL) is currently trading at Kč502.00 CZK, up 0.20% today. Over the past 52 weeks, shares have ranged between Kč450.00 and Kč527.00. This page tracks Kofola CeskoSlovensko as's live share price on the PR 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 Kofola CeskoSlovensko as (KOFOL) total market value.

Kofola CeskoSlovensko as (KOFOL) Stock Price Chart — Daily History & Trading Volume

The chart below tracks Kofola CeskoSlovensko as's daily closing share price and trading volume on the PR exchange over the past year, giving a clear view of recent price momentum and liquidity.

Kofola CeskoSlovensko as Income Statement — Revenue, Profit & Earnings by Year

Kofola CeskoSlovensko as's annual income statement shows how revenue converts into profit each fiscal year, including gross profit, operating income, EBITDA, and net income.

Fiscal Year 20242023202220212020
Total Revenue Kč11.08 Billion Kč8.69 Billion Kč7.88 Billion Kč6.64 Billion Kč6.17 Billion
Cost of Revenue Kč6.04 Billion Kč4.80 Billion Kč4.56 Billion Kč3.71 Billion Kč3.35 Billion
Gross Profit Kč5.04 Billion Kč3.89 Billion Kč3.31 Billion Kč2.93 Billion Kč2.82 Billion
Research & Development Kč6.60 Million Kč5.60 Million Kč9.60 Million Kč6.70 Million
SG&A Kč3.91 Billion Kč707.05 Million Kč466.51 Million Kč466.40 Million Kč425.65 Million
Total Operating Expenses Kč9.72 Billion Kč3.14 Billion Kč2.80 Billion Kč2.43 Billion Kč2.43 Billion
Operating Income Kč1.36 Billion Kč747.20 Million Kč482.64 Million Kč424.87 Million Kč393.44 Million
EBITDA Kč1.27 Billion Kč1.20 Billion Kč1.08 Billion Kč927.79 Million
EBIT Kč725.09 Million Kč609.86 Million Kč458.61 Million Kč295.31 Million
Interest Expense Kč303.87 Million Kč243.15 Million Kč210.02 Million Kč93.46 Million Kč103.61 Million
Income Before Tax Kč927.30 Million Kč481.94 Million Kč399.84 Million Kč365.14 Million Kč191.70 Million
Income Tax Expense Kč112.97 Million Kč135.93 Million Kč124.65 Million Kč125.90 Million
Net Income Kč597.89 Million Kč365.40 Million Kč269.15 Million Kč248.80 Million Kč80.52 Million

Kofola CeskoSlovensko as Balance Sheet — Assets, Liabilities & Shareholder Equity

The balance sheet below summarizes Kofola CeskoSlovensko as's financial position at each fiscal year-end — what it owns (assets), what it owes (liabilities), and the resulting shareholder equity.

Fiscal Year 20242023202220212020
Total Assets Kč10.87 Billion Kč8.03 Billion Kč7.50 Billion Kč7.24 Billion Kč7.54 Billion
Total Current Assets Kč3.63 Billion Kč2.90 Billion Kč2.41 Billion Kč1.93 Billion Kč1.85 Billion
Cash & Equivalents
Short-term Investments
Net Receivables Kč1.22 Billion Kč917.93 Million Kč783.91 Million Kč646.35 Million Kč593.15 Million
Inventory Kč941.88 Million Kč706.19 Million Kč766.44 Million Kč641.23 Million Kč519.19 Million
Property, Plant & Equipment
Goodwill Kč780.94 Million Kč662.32 Million Kč647.97 Million Kč648.09 Million Kč647.02 Million
Total Liabilities Kč8.85 Billion Kč6.57 Billion Kč6.22 Billion Kč5.94 Billion Kč6.23 Billion
Total Current Liabilities Kč4.11 Billion Kč2.81 Billion Kč2.55 Billion Kč2.50 Billion Kč2.24 Billion
Long-term Debt Kč3.69 Billion Kč3.15 Billion Kč3.06 Billion Kč2.78 Billion Kč3.25 Billion
Net Debt Kč3.54 Billion Kč2.86 Billion Kč3.30 Billion Kč3.45 Billion Kč3.85 Billion
Total Stockholder Equity Kč1.69 Billion Kč1.46 Billion Kč1.33 Billion Kč1.34 Billion Kč1.34 Billion
Retained Earnings Kč311.78 Million Kč159.92 Million Kč161.35 Million Kč129.46 Million Kč166.83 Million

Kofola CeskoSlovensko as Cash Flow Statement — Operating, Investing & Financing Activities

This cash flow statement breaks down how Kofola CeskoSlovensko as generates and spends cash across operating, investing, and financing activities each fiscal year, including free cash flow and capital expenditures.

Fiscal Year 20242023202220212020
Operating Cash Flow Kč1.68 Billion Kč1.48 Billion Kč922.77 Million Kč1.14 Billion Kč785.02 Million
Capital Expenditures Kč824.65 Million Kč417.08 Million Kč413.68 Million Kč277.49 Million Kč481.46 Million
Free Cash Flow Kč851.44 Million Kč1.07 Billion Kč509.09 Million Kč864.53 Million Kč303.56 Million
Investing Cash Flow
Financing Cash Flow Kč-656.29 Million Kč-296.32 Million Kč-1.05 Billion Kč325.00 Million
Dividends Paid Kč-449.83 Million Kč286.60 Million Kč253.01 Million Kč288.10 Million Kč275.04 Million
Stock-Based Compensation Kč81.82 Million Kč158.51 Million Kč-1.51 Million
Depreciation Kč674.08 Million Kč540.42 Million Kč586.10 Million Kč618.21 Million Kč632.48 Million
Change in Cash Kč149.92 Million Kč444.66 Million Kč234.93 Million Kč-152.37 Million Kč-230.61 Million

Kofola CeskoSlovensko as Earnings History — EPS Actual vs. Analyst Estimates

Track Kofola CeskoSlovensko as'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 19, 2026
Nov 25, 2025
Sep 02, 2025
Nov 21, 2024
Sep 01, 2023 5.52
Jun 05, 2023 -1.64
Feb 15, 2023 -0.32
Nov 24, 2022 8.68