TL;DR: Financial Overview - Revenue, Profits & Key Metrics

Latest Quarterly: Mar 2025

Income Metrics

Revenue 199.5B
Gross Profit 92.5B 46.35%
Operating Income 45.2B 22.63%
Net Income 127.8B 64.06%

Balance Sheet Metrics

Total Assets 4.6T
Total Liabilities 2.7T
Shareholders Equity 1.9T
Debt to Equity 1.43

Cash Flow Metrics

Operating Cash Flow 265.7B
Free Cash Flow 9.5B

Revenue & Profitability Trend

Cresud S.A.C.I.F. y Income Statement From 2020 to 2024

Metric20242023202220212020
Revenue i711.4B707.4B767.7B149.9B82.2B
Cost of Goods Sold i419.8B442.6B427.6B70.5B47.2B
Gross Profit i291.6B264.8B340.1B79.4B35.0B
Gross Margin % i41.0%37.4%44.3%52.9%42.6%
Operating Expenses
Research & Development i-----
Selling, General & Administrative i106.2B117.8B95.9B23.0B11.3B
Other Operating Expenses i12.5B23.7B34.2B2.9B948.0M
Total Operating Expenses i118.7B141.4B130.1B25.9B12.3B
Operating Income i141.4B95.3B182.1B45.4B18.7B
Operating Margin % i19.9%13.5%23.7%30.3%22.7%
Non-Operating Items
Interest Income i85.6B8.2B21.8B13.2B3.9B
Interest Expense i60.9B83.5B112.7B48.6B23.5B
Other Non-Operating Income-116.7B1.2B427.4B36.4B78.4B
Pre-tax Income i32.1B20.3B520.4B41.3B75.7B
Income Tax i-61.9B-270.2B15.8B98.8B19.6B
Effective Tax Rate % i-192.7%-1,332.4%3.0%238.9%25.9%
Net Income i94.0B290.5B504.6B-86.6B49.3B
Net Margin % i13.2%41.1%65.7%-57.8%59.9%
Key Metrics
EBITDA i253.2B117.0B212.7B40.1B43.5B
EPS (Basic) i-----
EPS (Diluted) i-----
Basic Shares Outstanding i-----
Diluted Shares Outstanding i-----

Income Statement Trend

Cresud S.A.C.I.F. y Balance Sheet From 2021 to 2024

Metric20242023202220212021
Assets
Current Assets
Cash & Equivalents i114.6B144.7B75.3B45.1B119.0M
Short-term Investments i146.1B162.8B41.1B2.3B-
Accounts Receivable i261.7B289.1B71.8B37.3B-
Inventory i175.0B174.8B48.8B28.7B-
Other Current Assets-----
Total Current Assets i706.4B798.6B243.6B114.8B132.3M
Non-Current Assets
Property, Plant & Equipment i73.4B65.9B14.1B31.8B1.6M
Goodwill i77.3B41.9B10.5B5.5B-
Intangible Assets i67.7B32.1B7.9B4.3B-
Long-term Investments1.2B1.5B140.0M123.0M-
Other Non-Current Assets184.8B169.7B46.2B24.1B1.2M
Total Non-Current Assets i2.8T3.2T897.3B441.4B2.8M
Total Assets i3.5T4.0T1.1T556.2B135.1M
Liabilities
Current Liabilities
Accounts Payable i248.5B282.1B66.7B32.1B1.3M
Short-term Debt i365.5B403.2B210.3B77.1B311.0K
Current Portion of Long-term Debt-----
Other Current Liabilities12.2B4.6B2.1B1.8B-
Total Current Liabilities i657.6B724.6B318.1B115.5B1.7M
Non-Current Liabilities
Long-term Debt i536.8B658.3B114.7B127.6B932.0K
Deferred Tax Liabilities i638.2B724.6B250.6B134.8B-
Other Non-Current Liabilities-----
Total Non-Current Liabilities i1.3T1.5T377.0B267.0B932.0K
Total Liabilities i1.9T2.2T695.1B382.5B2.6M
Equity
Common Stock i594.0M586.0M590.0M589.0M1.0K
Retained Earnings i45.8B131.0B45.6B-15.8B-791.1M
Treasury Stock i---2.0M-2.0M-
Other Equity-----
Total Shareholders Equity i1.6T1.8T445.8B173.6B-790.7M
Key Metrics
Total Debt i902.3B1.1T325.0B204.7B1.2M
Working Capital i48.8B74.0B-74.6B-731.0M130.7M

Balance Sheet Composition

Cresud S.A.C.I.F. y Cash Flow Statement From 2020 to 2024

Metric20242023202220212020
Operating Activities
Net Income i94.0B290.5B504.6B-57.4B56.1B
Depreciation & Amortization i10.6B10.0B9.9B2.9B4.8B
Stock-Based Compensation i---0211.0M
Working Capital Changes i137.0B102.8B208.9B25.9B19.9B
Operating Cash Flow i-28.0B92.3B395.2B-937.0M137.2B
Investing Activities
Capital Expenditures i-318.0M-1.3B-9.2B-4.0B-3.4B
Acquisitions i23.8B-256.0M-5.5B-10.1B-4.7B
Investment Purchases i-553.7B-205.9B-218.7B-61.1B-34.3B
Investment Sales i568.4B197.2B144.9B113.0B58.1B
Investing Cash Flow i39.9B-8.3B-84.8B37.0B19.0B
Financing Activities
Share Repurchases i-13.2B-25.6B-1.2B00
Dividends Paid i-123.6B-163.0B-66.6B-11.7B-2.6B
Debt Issuance i303.9B372.1B226.5B226.8B95.9B
Debt Repayment i-298.4B-410.9B-345.9B-354.6B-82.3B
Financing Cash Flow i-98.7B-211.7B-167.3B-53.1B1.7B
Free Cash Flow i-11.9B64.7B141.5B24.0B84.4B
Net Change in Cash i-86.9B-127.7B143.0B-17.0B157.8B

Cash Flow Trend

Cresud S.A.C.I.F. y Key Financial Ratios

Valuation Ratios

Price to Book 0.00
Price to Sales 0.00

Profitability Ratios

Profit Margin 9.47%
Operating Margin 16.46%
Return on Equity 11.86%
Return on Assets 0.74%

Financial Health

Current Ratio 1.25
Debt to Equity 75.11
Beta 0.42

Per Share Data

Book Value per Share $1,412.48
Revenue per Share $1,168.64

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
cresw546.8M-0.0011.86%9.47%75.11
Honeywell 140.2B25.128.7133.60%14.30%226.06
3M Company 80.2B20.9018.6994.76%16.01%316.76
Ftai Infrastructure 822.8M-1.50-22.40%-37.13%325.73
Matthews 746.4M28.231.83-17.17%-4.62%214.42
Deluxe 716.8M12.821.139.24%2.75%237.08

Financial data is updated regularly. All figures are in the company's reporting currency.