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

Latest Quarterly: Mar 2025

Income Metrics

Revenue 65.5M
Gross Profit 20.9M 31.95%
Operating Income 4.8M 7.38%
Net Income 1.8M 2.75%
EPS (Diluted) $0.04

Balance Sheet Metrics

Total Assets 2.5B
Total Liabilities 1.2B
Shareholders Equity 1.2B
Debt to Equity 1.01

Cash Flow Metrics

Operating Cash Flow 19.8M
Free Cash Flow -446.3M

Revenue & Profitability Trend

Cadeler A/S Income Statement From 2020 to 2024

Metric20242023202220212020
Revenue i248.7M108.6M106.4M60.9M19.5M
Cost of Goods Sold i124.2M59.9M49.5M38.9M45.8M
Gross Profit i124.5M48.8M56.9M22.1M-26.3M
Gross Margin % i50.1%44.9%53.5%36.2%-134.6%
Operating Expenses
Research & Development i-----
Selling, General & Administrative i51.6M25.1M13.9M10.4M3.1M
Other Operating Expenses i985.0K986.0K796.0K161.0K179.0K
Total Operating Expenses i52.5M26.1M14.7M10.5M3.3M
Operating Income i69.4M22.2M41.2M11.1M-35.9M
Operating Margin % i27.9%20.4%38.7%18.3%-184.1%
Non-Operating Items
Interest Income i3.3M1.4M244.0K07.7M
Interest Expense i2.8M2.9M1.5M3.4M4.3M
Other Non-Operating Income-1.4M-8.8M-4.0M103.0K-
Pre-tax Income i67.5M11.5M35.5M7.4M-27.0M
Income Tax i2.4M00-13.0K-1.0K
Effective Tax Rate % i3.6%0.0%0.0%-0.2%0.0%
Net Income i65.1M11.5M35.5M7.5M-27.0M
Net Margin % i26.2%10.6%33.4%12.2%-138.6%
Key Metrics
EBITDA i128.3M46.2M63.8M27.3M-7.3M
EPS (Basic) i-$0.24$0.88$0.24-$4.16
EPS (Diluted) i-$0.24$0.88$0.24-$4.16
Basic Shares Outstanding i-4652997639202348315025776228893
Diluted Shares Outstanding i-4652997639202348315025776228893

Income Statement Trend

Cadeler A/S Balance Sheet From 2020 to 2024

Metric20242023202220212020
Assets
Current Assets
Cash & Equivalents i58.5M96.6M19.0M2.3M63.6M
Short-term Investments i-----
Accounts Receivable i62.8M26.8M17.6M18.4M7.0M
Inventory i1.0M1.8M549.0K440.0K312.0K
Other Current Assets--1.7M1.0K13.0K
Total Current Assets i188.6M147.4M59.5M24.6M83.5M
Non-Current Assets
Property, Plant & Equipment i0464.0K464.0K399.6M1.0M
Goodwill i36.0M33.7M419.0K402.0K0
Intangible Assets i427.0K240.0K419.0K402.0K-
Long-term Investments6.6M338.0K3.4M0-
Other Non-Current Assets---1.0K-
Total Non-Current Assets i1.7B1.1B610.5M400.1M253.3M
Total Assets i1.9B1.3B670.0M424.8M336.8M
Liabilities
Current Liabilities
Accounts Payable i11.6M8.4M4.0M2.8M4.4M
Short-term Debt i32.4M1.4M1.1M28.9M9.9M
Current Portion of Long-term Debt-----
Other Current Liabilities209.0K4.0M-1.0K-
Total Current Liabilities i123.6M53.6M11.8M53.9M25.6M
Non-Current Liabilities
Long-term Debt i549.6M205.2M114.2M44.7M64.4M
Deferred Tax Liabilities i12.0M10.2M00-
Other Non-Current Liabilities----1.0K-
Total Non-Current Liabilities i579.5M239.9M117.7M45.7M70.1M
Total Liabilities i703.1M293.5M129.5M99.5M95.7M
Equity
Common Stock i47.1M41.8M26.6M18.6M15.6M
Retained Earnings i59.4M-7.4M3.1M-32.8M-40.2M
Treasury Stock i1.3M----
Other Equity-----
Total Shareholders Equity i1.2B959.0M540.6M325.3M241.1M
Key Metrics
Total Debt i582.0M206.6M115.3M73.6M74.3M
Working Capital i65.0M93.8M47.7M-29.2M57.9M

Balance Sheet Composition

Cadeler A/S Cash Flow Statement From 2020 to 2024

Metric20242023202220212020
Operating Activities
Net Income i65.1M11.5M35.5M7.5M-27.0M
Depreciation & Amortization i56.6M23.0M22.7M16.5M-
Stock-Based Compensation i1.7M1.1M352.0K-321.0K156.0K
Working Capital Changes i-32.6M28.9M-43.5M14.6M878.0K
Operating Cash Flow i91.7M66.3M16.0M42.7M-32.6M
Investing Activities
Capital Expenditures i-615.5M-65.1M-225.2M-162.9M-256.1M
Acquisitions i010.4M00-
Investment Purchases i-----
Investment Sales i-----
Investing Cash Flow i-615.3M-54.7M-225.2M-162.9M-256.1M
Financing Activities
Share Repurchases i-1.3M----
Dividends Paid i0000-
Debt Issuance i366.0M199.9M113.5M073.3M
Debt Repayment i-12.6M-115.6M-90.3M-10.3M-
Financing Cash Flow i504.0M77.4M192.2M75.8M346.8M
Free Cash Flow i-522.9M-3.5M-196.4M-133.2M-265.7M
Net Change in Cash i-19.5M89.0M-16.9M-44.5M58.1M

Cash Flow Trend

Cadeler A/S Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) 17.28
Price to Book 3.07
Price to Sales 6.21

Profitability Ratios

Profit Margin 29.70%
Operating Margin 7.38%
Return on Equity 7.49%
Return on Assets 2.99%

Financial Health

Current Ratio 1.19
Debt to Equity 87.32
Beta 0.53

Per Share Data

EPS (TTM) $1.21
Book Value per Share $6.82
Revenue per Share $3.88

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
cdlr1.8B17.283.077.49%29.70%87.32
Quanta Services 59.0B64.287.9113.73%3.74%63.54
Ferrovial S.A 37.4B10.356.2049.66%35.41%142.78
Nv5 Global 1.5B51.241.803.48%2.94%32.21
Willdan Group 1.2B47.144.7010.78%4.08%42.48
Ameresco 957.9M17.680.955.39%2.97%225.93

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