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SFCA · SOCIETE FRANCAISE DE CASINOS · Financials

6.0000 EUR 15-min delayed · Oct 6, 14:30 UTC
Market Cap
31.06M EUR
Shares
5.09M

Income-statement, balance-sheet and cash-flow figures read from the company's own published financial reports.

Browse captured authority reports and their original financial labels

Revenue
13.71M -4.2%
FY2025 Revenue FY2021–FY2025
Net Income
1.11M -18.7%
FY2025 Net Income FY2021–FY2025
Operating Margin
11.75% -0.3pp
FY2025 Operating Margin FY2021–FY2025
Operating Cash Flow
2.38M -21.2%
FY2025 Operating Cash Flow FY2021–FY2025

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

Line Item FY2025 FY2024 FY2023 FY2022 FY2021
EUR 13.71M 14.31M 14.29M 13.42M 6.47M
EUR 1.36M 1.22M 1.3M 1.41M —
EUR 1.61M 1.72M 1.52M 1.77M -442K
EUR — 1.6M 1.3M 1.66M -640K
EUR 318K 217K -29K -45K 25K
EUR 1.11M 1.36M 0 0 -6000
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.

Debt Profile

Reported borrowing balances, repayment dates and agreement terms, with links to the underlying filings.

Reported debt balances

Each amount keeps its reported scope. Related balance-sheet measures appear under the borrowing they describe.

Reported balanceAs ofAmountSource
Current lease liabilities 2025-10-31 EUR 412,000 ESEF Annual Report filed 2026-03-04
Noncurrent lease liabilities 2025-10-31 EUR 1,042,000 ESEF Annual Report filed 2026-03-04
Instrument and agreement coverage is incomplete. Additional filings are awaiting review.

Covenants

Covenant terms have not yet been verified for this profile.

The balance figures do not establish whether covenants apply or whether the company complies with them.

Loans, facilities and notes

The instrument breakdown is not yet verified. Read the debt note in the linked report for borrowing terms and maturity conditions.