Codere Online Luxembourg, S.A. (CDRO)

Every figure below is the company's own, as filed. Nothing is estimated and nothing is smoothed — a period the filing does not support is left blank rather than drawn. This filer's financial year end could not be read from its revenue history, so quarters are labelled by the calendar. Amounts in EUR.

Revenue Annual

0 70M 140M 210M 2020: 70.5M 2021: 80.3M 2022: 115.7M 2023: 161.6M 2024: 200.7M 2020 2021 2022 2023 2024

Gross Profit Annual

0 60M 120M 180M 2020: 0 2021: 57.7M 2022: 93.2M 2023: 132.6M 2024: 168.7M 2020 2021 2022 2023 2024

Revenue minus cost of sales. This filer tags no gross profit of its own..

Operating Income Annual

-75M -50M -25M 0 25M 50M 75M 2020: -14.2M 2021: -71M 2022: -55.9M 2023: -14.8M 2024: 4.3M 2020 2021 2022 2023 2024

Net Income Annual

-75M -50M -25M 0 25M 50M 75M 2020: -16.3M 2021: -68M 2022: -46.4M 2023: -2.4M 2024: 3.9M 2020 2021 2022 2023 2024

Cost of Revenue Annual

-25M 0 25M 50M 75M 2020: 70.5M 2021: 22.5M 2022: -22.5M 2023: 29M 2024: 32M 2020 2021 2022 2023 2024

Operating Cash Flow Annual

Nothing in this filer's XBRL supports this figure for the periods asked for, so there is nothing to draw. That is a gap in the filing, not a zero.

Free Cash Flow Annual

Nothing in this filer's XBRL supports this figure for the periods asked for, so there is nothing to draw. That is a gap in the filing, not a zero.

Shares Outstanding Annual

Nothing in this filer's XBRL supports this figure for the periods asked for, so there is nothing to draw. That is a gap in the filing, not a zero.

EPS TTM

Nothing in this filer's XBRL supports this figure for the periods asked for, so there is nothing to draw. That is a gap in the filing, not a zero.