Realfiction Holding AB (publ) (FRA:7VL)
Germany flag Germany · Delayed Price · Currency is EUR
0.4010
+0.0180 (4.70%)
Last updated: Nov 28, 2025, 9:59 AM CET

Realfiction Holding AB Income Statement

Millions SEK. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202015 - 2019
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
7.1918.6219.5221.3118.8414.47
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Revenue Growth (YoY)
-72.82%-4.63%-8.36%13.07%30.21%-41.61%
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Cost of Revenue
2.644.963.45.035.734.52
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Gross Profit
4.5513.6616.1316.2813.129.96
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Selling, General & Admin
23.3126.2623.7417.8517.4118.7
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Other Operating Expenses
-0.83-0.97-0.25-0.79-0.81-0.64
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Operating Expenses
29.6132.6724.1217.8617.3919.4
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Operating Income
-25.06-19.01-8-1.59-4.28-9.44
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Interest Expense
-4.33-4.18-0.44-0.39-0.37-0.36
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Interest & Investment Income
0.280.280.21---
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Currency Exchange Gain (Loss)
0.110.110.11-0.090.090.05
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Other Non Operating Income (Expenses)
-0.34-----
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Pretax Income
-29.34-22.8-8.12-2.07-4.55-9.75
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Income Tax Expense
-4.47-4.38-2.02-0.68-3.58-1.55
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Net Income
-24.87-18.42-6.1-1.39-0.97-8.2
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Net Income to Common
-24.87-18.42-6.1-1.39-0.97-8.2
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Shares Outstanding (Basic)
202020201816
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Shares Outstanding (Diluted)
202020201816
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Shares Change (YoY)
2.61%0.16%0.11%7.50%16.51%21.77%
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EPS (Basic)
-1.23-0.93-0.31-0.07-0.05-0.52
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EPS (Diluted)
-1.23-0.93-0.31-0.07-0.05-0.52
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Free Cash Flow
-12.97-9.57-2.383.24-0.49-3.38
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Free Cash Flow Per Share
-0.64-0.48-0.120.16-0.03-0.21
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Gross Margin
63.27%73.36%82.60%76.39%69.61%68.79%
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Operating Margin
-348.77%-102.08%-40.96%-7.44%-22.69%-65.24%
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Profit Margin
-346.18%-98.90%-31.24%-6.51%-5.15%-56.63%
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Free Cash Flow Margin
-180.47%-51.38%-12.17%15.19%-2.57%-23.33%
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EBITDA
-17.93-11.63-7.37-0.79-3.49-8.11
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EBITDA Margin
-249.60%-62.46%-37.75%-3.68%-18.52%-56.02%
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D&A For EBITDA
7.137.380.630.80.791.34
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EBIT
-25.06-19.01-8-1.59-4.28-9.44
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EBIT Margin
--102.08%-40.96%-7.44%-22.69%-65.24%
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Revenue as Reported
19.5919.5919.7722.0919.6515.11
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.