Conto economico

GRIFFON CORP

GFF
Riepilogo performance Clicca su una riga della tabella per aggiungerla al grafico
in milioni di USD
Voce Sep 30, 2025 2025 FY Sep 30, 2024 2024 FY Sep 30, 2023 2023 FY Sep 30, 2022 2022 FY Sep 30, 2021 2021 FY Sep 30, 2020 2020 FY Sep 30, 2019 2019 FY Sep 30, 2018 2018 FY Sep 30, 2017 2017 FY Sep 30, 2016 2016 FY Sep 30, 2015 2015 FY Sep 30, 2014 2014 FY Sep 30, 2013 2013 FY Sep 30, 2012 2012 FY Sep 30, 2011 2011 FY
Ricavi
2,519.93 2,623.52 2,685.18 2,848.49 2,270.63 2,407.52 - - 1,525.00 1,957.16 2,016.03 1,991.81 1,871.33 1,861.15 1,830.80
Costo del venduto
1,461.92 1,603.59 1,736.36 1,911.60 1,629.51 1,766.10 1,614.02 1,448.36 1,116.88 1,483.73 1,540.25 1,532.41 1,453.74 1,442.34 1,437.34
Utile lordo
1,058.01 1,019.94 948.82 936.89 641.11 641.43 595.27 529.56 408.12 473.43 475.78 459.40 417.59 418.81 393.46
Spese operative
851.73 621.64 751.93 1,125.95 470.53 486.40 460.00 -946.82 -678.18 369.93 374.76 381.24 353.73 346.39 337.91
Ricerca e sviluppo
- - - - - - - - - - - - - - -
Spese commerciali, generali e amministrative
608.12 621.64 642.73 608.93 470.53 486.40 460.00 433.11 339.09 364.03 374.76 375.10 340.47 341.70 330.37
Altre spese operative
- - - - - - - - - - - - - - -
Reddito operativo
206.28 398.30 196.89 -189.07 170.58 155.03 135.27 96.45 69.03 103.51 101.02 78.16 63.85 72.42 55.55
Proventi/oneri non operativi
-78.91 -101.65 -84.21 -81.81 -59.40 11.40 23.36 88.76 -1.70 -1.95 -1.69 -0.67 -1.85 -1.85 -69.90
Proventi da interessi
2.16 2.43 2.09 0.22 0.44 0.75 0.81 1.70 0.06 0.14 0.30 0.30 0.35 0.29 0.40
Oneri finanziari
96.01 104.09 101.45 84.38 63.18 66.54 68.07 65.57 51.51 51.25 48.17 48.45 52.52 52.01 47.85
Altri proventi/oneri non operativi
6.67 1.77 2.93 6.88 3.33 11.76 23.45 120.67 1.40 3.47 10.52 7.95 9.66 10.83 3.71
Risultato prima delle imposte
127.37 296.65 112.68 4.74 111.18 83.90 72.18 191.67 62.33 90.83 83.98 63.56 55.37 68.02 -14.35
Imposte sul reddito
76.26 86.75 35.07 -79.32 31.97 29.33 34.89 -91.87 1.79 60.82 49.69 -72.77 51.60 68.02 -6.92
Utile di pertinenza di terzi
- - - - - - - - - - - - - - -
Utile netto
51.11 209.90 77.62 -191.56 79.21 53.43 37.29 125.68 14.91 30.01 34.29 -0.18 3.77 0.00 -7.43
Informazioni supplementari Dati per azione, voci derivate e altre – non facenti parte del conto economico
in milioni di USD, salvo diversa indicazione
Voce Sep 30, 2025 2025 FY Sep 30, 2024 2024 FY Sep 30, 2023 2023 FY Sep 30, 2022 2022 FY Sep 30, 2021 2021 FY Sep 30, 2020 2020 FY Sep 30, 2019 2019 FY Sep 30, 2018 2018 FY Sep 30, 2017 2017 FY Sep 30, 2016 2016 FY Sep 30, 2015 2015 FY Sep 30, 2014 2014 FY Sep 30, 2013 2013 FY Sep 30, 2012 2012 FY Sep 30, 2011 2011 FY
Ammortamenti e svalutazioni
- - - - - - - - - - - - - - -
EBITDA
206.28 398.30 196.89 -189.07 170.58 155.03 135.27 96.45 69.03 103.51 101.02 78.16 63.85 72.42 55.55
Utile per azione (base)
1.13 4.41 1.49 -3.71 1.56 1.25 0.91 3.06 0.36 0.73 0.77 0.00 0.07 0.30 -0.13
Utile per azione diluito
1.09 4.23 1.42 -3.71 1.48 1.19 0.87 2.96 0.35 0.68 0.73 0.00 0.07 0.30 -0.13
Media ponderata azioni
45.35 47.57 52.11 51.67 50.83 42.59 40.93 41.01 41.01 41.07 44.61 49.37 54.43 55.91 58.92
Media ponderata diluita azioni
46.69 49.67 54.61 51.67 53.37 45.02 42.89 42.42 43.01 44.11 46.94 49.37 56.56 57.33 58.92
Conto economico complessivo
37.21 221.88 90.35 -228.32 105.33 102.00 87.88 152.05 38.34 68.97 34.32 28.36 66.17 - -