Sportradar Group AG

General ticker "SRAD" information:

  • Sector: Consumer Discretionary
  • Industry: Hotels, Restaurants & Leisure
  • Capitalization: $7.2B (TTM average)

Sportradar Group AG follows the US Stock Market performance with the rate: 44.2%.

Estimated limits based on current volatility of 1.5%: low 22.23$, high 22.89$

Factors to consider:

  • Earnings for 9 months up through Q3 exceed our estimates

Stock Forecast*

* forecast is subjective and experimental, should not be used for any investment decisions

Long term estimates were made for the period from 2024-12-31 to 2026-12-31

  • 2024-12-31 to 2025-12-31 estimated range: [14.02$, 23.74$]
  • 2025-12-31 to 2026-12-31 estimated range: [13.44$, 22.83$]

Financial Metrics affecting the SRAD estimates:

  • Positive: with PPE of 171.6 at the end of fiscal year the price was very low
  • Positive: 7.86 < Operating profit margin, % of 12.16
  • Negative: negative Industry operating cash flow (median)
  • Positive: -2.95 < Return on assets ratio (scaled to [-100,100]) of 1.44
  • Positive: 6.82 < Operating cash flow per share per price, % of 7.17
  • Positive: Inventory ratio change, % of 0.13 <= 0.84
  • Negative: Investing cash flow per share per price, % of -5.18 <= -4.48
  • Negative: Industry earnings per price (median), % of 0 <= 0
  • Negative: negative Industry operating income (median)
  • Positive: 18.93 < Shareholder equity ratio, % of 40.32 <= 41.86

Similar symbols

Short-term SRAD quotes

Long-term SRAD plot with estimates

Financial data

YTD 2022-12-31 2023-12-31 2024-12-31
Operating Revenue €730.19MM €877.62MM €1,106.56MM
Operating Expenses €704.96MM €799.41MM €972.00MM
Operating Income €25.23MM €78.21MM €134.56MM
Non-Operating Income €-7.44MM €-31.01MM €-112.01MM
Interest Expense €41.45MM €31.45MM €77.47MM
Income(Loss) €17.79MM €47.20MM €22.55MM
Taxes €7.30MM €12.55MM €-11.06MM
Profit(Loss)* €10.89MM €34.66MM €34.15MM
Stockholders Equity €751.59MM €867.79MM €925.15MM
Inventory €5.71MM €5.99MM €5.70MM
Assets €1,389.06MM €2,247.35MM €2,294.64MM
Operating Cash Flow €168.08MM €258.64MM €353.01MM
Capital expenditure €162.55MM €200.28MM €227.66MM
Investing Cash Flow €-246.57MM €-202.09MM €-254.88MM
Financing Cash Flow €-459.85MM €-17.63MM €-36.75MM
Earnings Per Share** €0.04 €0.11 €0.11

* Profit(Loss) attributable to entity.
** EPS are Split Adjusted, recent splits may be reflected with a delay.