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SRAD · Sportradar Group AG · Financials

Track SRAD — free
$13.02 +0.29 (+2.28%)
Market Cap
$3.82B
Shares
295.95M

Income-statement, balance-sheet and cash-flow figures from SEC filings, plus a debt profile anchored in the latest 10-K and updated by each 10-Q and debt exhibit.

Revenue
1.29B +16.6%
FY2025 Revenue FY2019–FY2025
Net Income
100.32M +193.8%
FY2025 Net Income FY2019–FY2025
Gross Margin
85.2% +1.1pp
FY2025 Gross Margin FY2019–FY2025
Operating Cash Flow
403.02M +14.2%
FY2025 Operating Cash Flow FY2019–FY2025

Chart any reported metric, KPI or segment over time — the full statement history lives here

Line Item FY2025 FY2024 FY2023 FY2022 FY2021 FY2020 FY2019
EUR 1.29B 1.11B 877.62M 730.19M 561.2M 404.92M 380.4M
EUR 190.93M 175.58M 151.71M 129.19M 119.43M 89.31M 61.4M
EUR 50.91M 36.69M 28.51M 27.73M
EUR 9.85M 9.19M 7.83M 7.8M 5.34M 3.47M 6.63M
EUR 18.13M 5.4M 5.08M 3.77M 3.03M 3.02M 3.86M
EUR 66.95M 50.78M 46.34M 44.61M 129.38M 106.23M 112.8M
EUR 86.53M 78.87M 33.73M 41.45M 32.54M 16.66M 13.46M
EUR 118.76M 22.55M 47.2M 17.79M 23.82M 22.13M -10.25M
EUR 18.44M -11.06M 12.55M 7.3M 11.04M 7.32M -21.91M
EUR 100.32M 34.15M 34.66M 10.89M 12.57M 15.25M 11.73M
Values reflect the latest filing (restatements included); per-share figures on today's split basis. Click a value for its source filing. 3Y/5Y/10Y columns are trailing CAGR from the newest fiscal year; blank where an endpoint is missing or negative.

Capital Returned to Shareholders

Cash spent on share repurchases and dividends per fiscal year, as reported on the cash-flow statement. Across FY2022–FY2025: $146.8M in buybacks.

Debt Profile

No verified debt profile is available yet. This does not establish that the company has no debt or covenants.

Key facts CIK 1836470 CUSIP H8088L103 13F (30d) 98 filings 98 filers Visit website Investor relations