Staff turnover in EUR213,495216,969269,088303,916295,964
Staff turnover in EUR213,495216,969269,088303,916295,964
The share: stated in EUR20212022202320242025
Shares outstanding (in mn.)0.280.280.2828.130.28
Dividend per share-----
Basic earnings per share-1.18-2.39-1.94-0.91-1.06
P/L in EUR million under IAS/IFRS20212022202320242025
Turnover673.4707.8795.0728.2769.3
Operating income (EBIT)-36.0-47.7-44.0-21.7-30.3
Earnings before taxes-43.3-58.3-52.8-25.0-29.0
Annual net profit/ loss-31.2-63.9-52.4-25.0-29.5
Balance sheet in EUR million under IAS/IFRS20212022202320242025
Assets
Total current assets291.2287.4262.3301.6419.8
Total fixed assets176.3153.4138.2149.8184.9
Total assets467.6440.8400.5451.4604.7
Liabilities
Total short-term liabilities153.4177.8187.5265.1436.4
Total long-term liabilities28.635.331.522.125.6
Total provisions0.00.00.00.00.0
Equity capital285.5227.7181.5164.2142.7
Total liabilities467.6440.8400.5451.4604.7
Management:
John Chandler
Carlin Conner
James Miller
John Hewitt
Jose de Bustamante
Liane Hinrichs
Martha Carnes
John R. Hewitt
Douglas J. Montalbano
Justin D. Sheets
Kevin S. Cavanah
Nancy E. Austin
Shawn P. Payne
Board:
Shareholding in %:
Address: 15 East 5th Street, Suite 1100, 74103 Tulsa
T: +1-918-838-8822
F: +
I: http://matrixservicecompany.com
E: