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Codere Online Luxembourg S.A. Warrants

Consumer Cyclical US CDROW

0.85USD
0.00(0%)

Last update at 2026-06-18T19:51:00Z

Day Range

0.850.85
LowHigh

52 Week Range

0.061.28
LowHigh

Fundamentals

  • Previous Close 0.85
  • Market Cap0.00000M
  • Volume851
  • P/E Ratio-
  • Dividend Yield-%
  • EBITDA-41.28300M
  • Revenue TTM139.12M
  • Revenue Per Share TTM3.08
  • Gross Profit TTM 0.00000M
  • Diluted EPS TTM-428.55

Source: TradingView
The charts and visual representations are sourced from TradingView through embedded widgets. For any issues with chart display, please visit the TradingView website

Financials

Income Statement

Balance Sheet

Change in Cash

Total Operating Cash

Dividends Paid

Breakdown 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Type yearly yearly yearly yearly
Date 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Income before tax -43.41500M -67.04700M -14.76900M -16.14600M
Minority interest 0.00100M -0.05400M 0.00500M -0.09800M
Net income -46.38200M -68.01300M -16.27900M -16.09300M
Selling general administrative 65.22M 43.58M 5.16M 31.91M
Selling and marketing expenses 88.41M 48.21M 35.06M 34.43M
Gross profit 110.90M 76.23M 66.24M 29.06M
Reconciled depreciation 0.56M 0.72M 0.93M 1.19M
Ebit -30.77200M -66.48600M -14.01734M -15.87254M
Ebitda -30.21600M -65.76500M -13.14900M -14.68300M
Depreciation and amortization 0.56M 0.72M 0.87M 1.19M
Non operating income net other - - - -
Operating income -55.87500M -71.02900M -86.24800M -15.87700M
Other operating expenses 171.62M 105.77M 84.75M 77.46M
Interest expense 12.64M 0.56M 0.52M 0.27M
Tax provision 2.97M 0.97M 1.51M -0.05300M
Interest income 25.10M 4.54M 0.17M 0.00000M
Net interest income 12.46M 3.98M -0.52000M -0.26900M
Extraordinary items - - - -
Non recurring - - - -
Other items - - - -
Income tax expense 2.97M 0.97M 1.51M -0.05300M
Total revenue 115.75M 80.25M 70.50M 61.58M
Total operating expenses 166.78M 105.77M 84.75M 77.46M
Cost of revenue 4.84M 4.02M 4.25M 32.52M
Total other income expense net 12.46M -41.41800M -0.52000M -0.26900M
Discontinued operations - - - -
Net income from continuing ops -46.38300M -68.01300M -16.27900M -16.09300M
Net income applicable to common shares - - - -
Preferred stock and other adjustments - - - -
Breakdown 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31
Type yearly yearly yearly yearly yearly
Date 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31
Total assets 69.31M 105.28M 18.55M 44.23M 36.07M
Intangible assets 0.01000M 0.47M 1.13M 2.01M 2.98M
Earning assets - - - - -
Other current assets - 0.74M 0.25M 0.23M 0.81M
Total liab 44.76M 37.12M 58.47M 75.56M 55.42M
Total stockholder equity 24.40M 68.01M -40.01700M -31.42900M -19.34900M
Deferred long term liab - - - - -
Other current liab 14.72M 6.50M 4.38M 4.91M 2.73M
Common stock 45.12M 45.12M - - -
Capital stock 45.12M 45.12M - - -
Retained earnings -148.41900M -102.03700M - - -
Other liab - - - - -
Good will - - - - -
Other assets - - - - -
Cash 53.81M 94.91M 10.90M 8.02M 2.63M
Cash and equivalents - - - - -
Total current liabilities 42.75M 31.61M 37.03M 54.12M 41.88M
Current deferred revenue - 2.43M 1.85M 0.46M 1.45M
Net debt -48.85500M -91.92400M 28.33M 43.66M 36.96M
Short term debt 4.24M 2.98M 17.79M 30.24M 26.05M
Short long term debt 4.24M 2.98M 17.78M 30.24M 26.05M
Short long term debt total 4.95M 2.98M 39.23M 51.68M 39.59M
Other stockholder equity 106.92M 106.92M -40.01700M -31.42900M -19.34900M
Property plant equipment - - - - -
Total current assets 68.33M 104.67M 17.30M 42.12M 33.05M
Long term investments 0.00200M 0.00400M - - -
Net tangible assets - - - - -
Short term investments 6.78M 3.90M 4.76M 4.37M 2.64M
Net receivables 7.07M 5.12M 1.39M 29.50M 26.97M
Long term debt 0.71M - 21.44M 21.44M 13.54M
Inventory - - - - -
Accounts payable 23.79M 19.69M 13.02M 18.52M 11.65M
Total permanent equity - - - - -
Noncontrolling interest in consolidated entity - - - - -
Temporary equity redeemable noncontrolling interests - - - - -
Accumulated other comprehensive income 20.78M 18.00M - - -
Additional paid in capital - - - - -
Common stock total equity - - - - -
Preferred stock total equity - - - - -
Retained earnings total equity - - - - -
Treasury stock - - - - -
Accumulated amortization - - - - -
Non currrent assets other - - - - -
Deferred long term asset charges - - - - -
Non current assets total 0.98M 0.61M 1.24M 2.10M 3.02M
Capital lease obligations - 0.00000M 0.00900M 0.00000M 0.00000M
Long term debt total - - - - -
Breakdown 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Type yearly yearly yearly yearly
Date 2022-12-31 2021-12-31 2020-12-31 2019-12-31
Investments -0.16400M -0.08300M -0.07200M -0.27500M
Change to liabilities - - - -
Total cashflows from investing activities - - - -
Net borrowings - - - -
Total cash from financing activities 0.00000M 89.33M -0.17500M 6.81M
Change to operating activities - - - -
Net income -43.41500M -67.04700M -14.76900M -16.14600M
Change in cash -41.10000M 84.01M 2.88M 5.39M
Begin period cash flow 94.91M 10.90M 8.02M 2.63M
End period cash flow 53.81M 94.91M 10.90M 8.02M
Total cash from operating activities -42.35700M -5.19200M 3.86M -1.24200M
Issuance of capital stock - - - -
Depreciation 0.56M 0.72M 0.93M 1.19M
Other cashflows from investing activities - - - -
Dividends paid - - - -
Change to inventory - - -3.42491M 3.77M
Change to account receivables -3.93500M 10.32M 3.68M -3.78100M
Sale purchase of stock - - - -
Other cashflows from financing activities -0.16400M 88.89M -0.07200M -0.27500M
Change to netincome - - - -
Capital expenditures 0.16M 0.08M 0.06M 0.07M
Change receivables - - - -
Cash flows other operating - - - -
Exchange rate changes - - - -
Cash and cash equivalents changes - - - -
Change in working capital -0.00394M 24.12M 17.54M 13.55M
Stock based compensation - - - -
Other non cash items 0.57M 37.01M 0.15M 0.15M
Free cash flow -42.52100M -5.27200M 3.80M -1.31700M

Peer Comparison

Sector: Consumer Cyclical Industry: Gambling

Company Change (USD) Price (USD) Trailing PE (x) Forward PE (x) Price Sales TTM (x) Price to Book Value (x)
CDROW
Codere Online Luxembourg S.A. Warrants
- -% 0.85 - - - -
GRKZF
Greek Organization of Football Prognostics S.A
- -% 15.25 14.78 8.71 2.21 24.39 6.70 13.17
ARLUF
Aristocrat Leisure Limited
- -% 35.60 26.33 19.23 3.10 4.56 4.80 11.38
FLUT
Flutter Entertainment plc
-4.39 4.31% 97.44 - 14.10 1.16 2.11 1.72 14.19
EVVTY
Evolution Gaming Group AB ADR
0.28 0.39% 72.65 11.33 10.92 6.79 2.87 5.37 7.86

Reports Covered

Stock Research & News

Profile

Codere Online Luxembourg, S.A. operates as an online casino gaming and sports betting company. It also offers online casino wagering products and services, as well as online gambling and other online services. The company offers its products under the Codere and Greenplay brand names. It primarily operates in Spain, Italy, Mexico, Colombia, the United Kingdom, Germany, South Africa, Austria, Malta, Panama, and Argentina. The company is based in Luxembourg, Luxembourg.

Codere Online Luxembourg S.A. Warrants

7, rue Robert Stumper, Luxembourg, Luxembourg, 2557

Key Executives

Name Title Year Born
Mr. Moshe Edree MD & Director 1966
Mr. Oscar Iglesias CFO & Director 1974
Mr. Aviv Sher Chief Operating Officer 1979
Mr. Gonzalo De Osma Chief Accounting Officer 1972
Ms. Yaiza Rodriguez Gen. Counsel 1986
Mr. Alberto Telias Chief Marketing Officer 1982
Mr. Erez Leket Head of Product 1971
Ms. Deborah Guivisdalsky Head of CRM/VIP 1981
Mr. Aviv Sher Chief Executive Officer 1980
Mr. Moshe Edree Executive Vice Chairman of the Board 1967

Disclaimer - This information, including any data, is sourced from Unicorn Data Services SAS, trading as EOD Historical Data (“EODHD”) on an ‘as is’ basis, using their API. We cannot guarantee the completeness or validity of the information and data provided on this page, as well as via the API. In some cases, the data may include analyst ratings or recommendations sourced through the EODHD API, which are intended solely for general information purposes.
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