PRADA(01913.HK): 2026 Interim Report - Profit Attributable to Shareholders stood at EUR 326.86 million, YoY decrease of 15.3%
NewTimeSpace News: July 30, 2026, PRADA(01913.HK) released its Interim Report for the period ended December 31, 2026, Total Revenue stood at EUR 3.05 billion, increased by 11.24% YoY; Net Profit stood at EUR 328.03 million, YoY decrease of 15.24%; Profit Attributable to Shareholders stood at EUR 326.86 million, YoY decrease of 15.3%; Basic Earnings Per Share (EPS) stood at EUR 0.13.
In terms of profitability, PRADA Gross Profit changed from EUR 2.19 billion in the same period last year to EUR 2.39 billion in the current period, increased by EUR 193.13 million; gross profit margin changed from 80.09% in the same period last year to 78.34% in the current period, decreased by 1.76 percentage points; net profit changed from EUR 386.99 million in the same period last year to EUR 328.03 million in the current period, decreased by EUR 58.96 million; net profit margin changed from 14.12% in the same period last year to 10.76% in the current period, decreased by 3.36 percentage points.
In terms of earnings quality, PRADA Operating Profit changed from EUR 607.29 million in the same period last year to EUR 523 million in the current period, decreased by EUR 84.3 million; Operating Profit Margin changed from 22.16% in the same period last year to 17.16% in the current period, decreased by 5.01 percentage points; Net Cash Flow from Operating Activities changed from cash inflow of EUR 689.14 million in the same period last year to cash inflow of EUR 686.54 million in the current period, decreased by EUR 2.6 million; Ratio of Net Cash Flow from Operating Activities to Total Operating Revenue changed from 25.15% in the same period last year to 22.52% in the current period, decreased by 2.63 percentage points.
In terms of financial soundness, PRADA Debt-to-Asset Ratio changed from 49% in the same period last year to 57.69% in the current period, increased by 8.69 percentage points; Total Equity changed from EUR 4.245 billion in the same period last year to EUR 4.608 billion in the current period, increased by EUR 363.6 million; Cash and Cash Equivalents changed from EUR 597.992 million in the same period last year to EUR 1.021 billion in the current period, increased by EUR 422.57 million; Current Liabilities changed from EUR 1.49 billion in the same period last year to EUR 1.88 billion in the current period, increased by EUR 386.3 million; Quick Ratio changed from 0.85 in the same period last year to 0.9 in the current period, increased by 0.05 percentage points.
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