Park Street A/S (CPH:PARKST.A)
Denmark flag Denmark · Delayed Price · Currency is DKK
15.00
-0.10 (-0.66%)
Jul 28, 2026, 4:59 PM CET

Park Street Income Statement

Millions DKK. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
151.9151.12166.14153.28158.26
Revenue Growth
0.52%-9.04%8.39%-3.15%-8.34%
Property Expenses
36.9643.8344.2348.6140.85
Total Property Expenses
36.9643.8344.2348.6140.85
Gross Profit
114.94107.29121.92104.68117.42
Selling, General & Admin
11.1316.3810.0410.9412.53
Depreciation & Amortization Expenses
1.061.42.563.684.33
Operating Income
90.2175.6493.7972.8382.75
Net Gains on Disposal of Properties
2.52-0.86-2.54-4.471.47
Interest Income
2.670.480--
Interest Expense
-81.34-73.36-52.42-29.93-25.88
Other Non-Operating Income (Expense)
20.0922.21-73.7536.07128.89
Total Non-Operating Income (Expense)
-56.07-51.53-128.711.67104.48
Pretax Income
34.1524.11-34.9274.5187.23
Provision for Income Taxes
15.5217.11-10.6719.5241.77
Net Income
18.626.99-24.2554.98145.46
Net Income to Common
18.626.99-24.250.05145.46
Net Income Growth
166.32%---99.96%0.09%
Shares Outstanding (Basic)
4343555566
Shares Outstanding (Diluted)
4343555566
Shares Change
0.00%-20.76%--17.64%-0.86%
EPS (Basic)
0.430.16-0.441.002.85
EPS (Diluted)
0.430.16-0.441.002.85
EPS Growth
168.75%---64.91%31.34%
Free Cash Flow
-30.89-28.29-27.48-58.8132.2
Free Cash Flow Growth
----211.65%
Free Cash Flow Per Share
-0.71-0.65-0.50-1.070.48
Gross Margin
75.67%71.00%73.38%68.29%74.19%
Operating Margin
59.39%50.05%56.45%47.51%52.28%
Profit Margin
12.26%4.63%-14.59%35.87%91.91%
FCF Margin
-20.34%-18.72%-16.54%-38.36%20.34%
EBITDA
91.2877.0496.3576.5182.75
EBITDA Margin
60.09%50.98%57.99%49.91%52.28%
EBIT
90.2175.6493.7972.8382.75
EBIT Margin
59.39%50.05%56.45%47.51%52.28%
Effective Tax Rate
45.46%70.99%30.56%26.20%22.31%