All stocks today
71229 stocks real-time data.
All stocks today

Stock quotes

Stock market live

Historical stock prices

Stocks market capitalization

Dividend stocks

Stock earnings

Stock revenue

Stock ratings. Where to invest?

Pharmagest Interactive SA revenue reports

Pharmagest Interactive SA financial reports, Pharmagest Interactive SA annual revenue in 2024. When does Pharmagest Interactive SA report revenue?
Add to widgets
Added to widgets

Pharmagest Interactive SA total revenue, net income and dynamics of changes in Euro today

Pharmagest Interactive SA current income and income for the latest reporting periods. The dynamics of net revenue of Pharmagest Interactive SA rose. The change amounted to 0 €. The dynamics of net revenue is shown in comparison with the previous report. These are the main financial indicators of Pharmagest Interactive SA. The financial report chart shows the values from 30/09/2018 to 31/12/2020. All information on Pharmagest Interactive SA total revenue on this chart is created in the form of yellow bars. The value of Pharmagest Interactive SA assets on the online chart is displayed in green bars.

Report date Total revenue
Total revenue refers to the total receipts from sales of a given quantity of goods or services. It is the total income of a business and is calculated by multiplying the quantity of goods sold by the price of the goods.
and Change (%)
Comparing current quartal report this year to quartal report last year.
Net income
Net income is an entity's income minus cost of goods sold, expenses and taxes for an accounting period.
and Change (%)
Comparing current quartal report this year to quartal report last year.
31/12/2020 46 911 500 € +22.92 % ↑ 9 040 000 € +28.95 % ↑
30/09/2020 46 911 500 € +22.92 % ↑ 9 040 000 € +28.95 % ↑
30/06/2020 38 965 500 € +1.37 % ↑ 6 317 000 € -7.781 % ↓
31/03/2020 38 965 500 € +1.37 % ↑ 6 317 000 € -7.781 % ↓
30/06/2019 38 439 500 € - 6 850 000 € -
31/03/2019 38 439 500 € - 6 850 000 € -
31/12/2018 38 163 000 € - 7 010 500 € -
30/09/2018 38 163 000 € - 7 010 500 € -
Show:
to

Pharmagest Interactive SA financial report charts

Dates of Pharmagest Interactive SA finance reports: 30/09/2018, 30/09/2020, 31/12/2020. The dates of financial statements are strictly regulated by law and financial statements. The current date of the financial report of Pharmagest Interactive SA for today is 31/12/2020. Gross profit Pharmagest Interactive SA is the profit a company makes after deducting the costs of making and selling its products, or the costs of providing its services. Gross profit Pharmagest Interactive SA is 15 779 500 €

Pharmagest Interactive SA quarterly report dates

Cost of revenue Pharmagest Interactive SA is the total cost of producing and distributing of products and services of a company. Cost of revenue Pharmagest Interactive SA is 31 132 000 € Total revenue Pharmagest Interactive SA refers to the total receipts from sales of a given quantity of goods or services. It is the total income of a business and is calculated by multiplying the quantity of goods sold by the price of the goods. Total revenue Pharmagest Interactive SA is 46 911 500 € Operating income Pharmagest Interactive SA is an accounting figure that measures the amount of profit realized from a business's operations, after deducting operating expenses such as wages, depreciation and cost of goods sold (COGS). Operating income Pharmagest Interactive SA is 13 036 000 €

Net income Pharmagest Interactive SA is an entity's income minus cost of goods sold, expenses and taxes for an accounting period. Net income Pharmagest Interactive SA is 9 040 000 € Current assets Pharmagest Interactive SA is a balance sheet item that represents the value of all assets that can reasonably expect to be converted into cash within one year. Current assets Pharmagest Interactive SA is 110 873 000 € Total assets Pharmagest Interactive SA refers to the total amount of assets owned by a person or entity. Total assets Pharmagest Interactive SA is 295 777 000 €

31/12/2020 30/09/2020 30/06/2020 31/03/2020 30/06/2019 31/03/2019 31/12/2018 30/09/2018
Gross profit
Gross profit is the profit a company makes after deducting the costs of making and selling its products, or the costs of providing its services.
15 779 500 € 15 779 500 € 13 446 000 € 13 446 000 € 12 264 000 € 12 264 000 € 12 751 000 € 12 751 000 €
Cost of revenue
Cost of revenue is the total cost of producing and distributing of products and services of a company.
31 132 000 € 31 132 000 € 25 519 500 € 25 519 500 € 26 175 500 € 26 175 500 € 25 412 000 € 25 412 000 €
Total revenue
Total revenue refers to the total receipts from sales of a given quantity of goods or services. It is the total income of a business and is calculated by multiplying the quantity of goods sold by the price of the goods.
46 911 500 € 46 911 500 € 38 965 500 € 38 965 500 € 38 439 500 € 38 439 500 € 38 163 000 € 38 163 000 €
Operating revenue
Operating revenue is revenue generated from a company's primary business activities. For example, a retailer produces revenue through merchandise sales, and a physician derives revenue from the medical services he/she provides.
- - - - 38 439 500 € 38 439 500 € 38 163 000 € 38 163 000 €
Operating income
Operating income is an accounting figure that measures the amount of profit realized from a business's operations, after deducting operating expenses such as wages, depreciation and cost of goods sold (COGS).
13 036 000 € 13 036 000 € 10 367 000 € 10 367 000 € 9 324 500 € 9 324 500 € 10 809 500 € 10 809 500 €
Net income
Net income is an entity's income minus cost of goods sold, expenses and taxes for an accounting period.
9 040 000 € 9 040 000 € 6 317 000 € 6 317 000 € 6 850 000 € 6 850 000 € 7 010 500 € 7 010 500 €
R&D spending
Research and Development spending - cost of investigative activities to improve existing products and procedures or to lead to the development of new products and procedures.
- - - - - - - -
Operating expense
An operating expense is an expenditure that a business incurs as a result of performing its normal business operations.
33 875 500 € 33 875 500 € 28 598 500 € 28 598 500 € 29 115 000 € 29 115 000 € 27 353 500 € 27 353 500 €
Current assets
Current assets is a balance sheet item that represents the value of all assets that can reasonably expect to be converted into cash within one year.
110 873 000 € 110 873 000 € 116 204 000 € 116 204 000 € 113 128 000 € 113 128 000 € 106 746 000 € 106 746 000 €
Total assets
Total assets refers to the total amount of assets owned by a person or entity.
295 777 000 € 295 777 000 € 294 880 000 € 294 880 000 € 254 251 000 € 254 251 000 € 223 808 000 € 223 808 000 €
Current cash
Current cash - the sum of all of the cash a company has on the date of report.
33 630 000 € 33 630 000 € 35 188 000 € 35 188 000 € 41 268 000 € 41 268 000 € 32 569 000 € 32 569 000 €
Current debt
Current debt is the portion of debt due within a year (12 months) and is listed as a current liability and part of net working capital.
- - - - 83 048 000 € 83 048 000 € 64 678 000 € 64 678 000 €
Total cash
Total cash - the sum of all of the cash a company has on its books, including petty cash and funds on deposit in a bank.
- - - - - - - -
Total debt
Total debt is a combination of both short-term and long-term debt. Short-term debts are those that must be paid back within a year. Long-term debt generally includes every liability that must be paid off in more than a year.
- - - - 135 511 000 € 135 511 000 € 106 757 000 € 106 757 000 €
Debt ratio
Total debt to total assets - is a financial ratio that indicates the percentage of a company's assets that are provided via debt.
- - - - 53.30 % 53.30 % 47.70 % 47.70 %
Shareholders equity
Shareholder's equity (SE) is the owner's claim after subtracting total liabilities from total assets.
143 257 000 € 143 257 000 € 126 422 000 € 126 422 000 € 115 382 000 € 115 382 000 € 113 847 000 € 113 847 000 €
Cash flow
Cash flow is the net amount of cash and cash-equivalents being transferred into and out of a business.
- - - - 16 954 500 € 16 954 500 € 1 197 000 € 1 197 000 €

Last revenue report of Pharmagest Interactive SA was 31/12/2020. According to last financial report total revenue in Pharmagest Interactive SA was 46 911 500 Euro and changed by +22.92% since last year. Net income in Pharmagest Interactive SA was 9 040 000 € in last quartal, net income changes to +28.95%.

Current cash Pharmagest Interactive SA - the sum of all of the cash a company has on the date of report. Current cash Pharmagest Interactive SA is 33 630 000 €

Pharmagest Interactive SA stocks data

Pharmagest Interactive SA financials