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USX:TNLIY - Trainline PLC
Trainline PLC
Sector:
Consumer Discretionary
, Industry:
Hotels, Resorts & Cruise Lines
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Yahoo Finance
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Balance Sheet
Cash Flow
Income Statement
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Show %
2017 Q1
2018 Q1
2018 Q3
2019 Q1
2019 Q3
2020 Q1
2020 Q3
2021 Q1
2021 Q3
2022 Q1
2022 Q3
2023 Q1
2023 Q3
2024 Q1
Graph
Insider Holdings (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
0%
-
0%
-
0%
-
0%
-
0%
-
-
Net Margin
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-53.64%
-
-6.32%
-
3.16%
-
6.49%
105.5%
6.31%
-2.7%
8.57%
35.7%
Gross Margin
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
77.52%
6.8%
81.05%
4.6%
81.19%
0.2%
77.1%
-5.0%
76.48%
-0.8%
76.95%
0.6%
Operating Margin
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-57.96%
-
-5.47%
-
5.49%
-
8.45%
53.9%
9.37%
10.9%
14.01%
49.5%
Total Revenue
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
116.19M
71.0%
192.47M
65.7%
286.82M
49.0%
318.92M
11.2%
373.14M
17.0%
396.47M
6.3%
Total Assets
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
636.64M
6.0%
656.51M
3.1%
674.16M
2.7%
636.75M
-5.5%
733.33M
15.2%
681.51M
-7.1%
Total Liabilities
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
359.61M
14.7%
391.57M
8.9%
392.03M
0.1%
353.42M
-9.9%
408.06M
15.5%
369.69M
-9.4%
Total Equity
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
277.03M
-3.5%
264.94M
-4.4%
282.13M
6.5%
283.34M
0.4%
325.27M
14.8%
311.82M
-4.1%
Operating CashFlow
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
37.7M
-
203.8M
440.6%
160.41M
-21.3%
37.9M
-76.4%
83.06M
119.1%
121.65M
46.5%
Beginning Cash Position
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
90.53M
-3.0%
37.34M
-58.8%
61.76M
65.4%
66.77M
8.1%
77.86M
16.6%
57.3M
-26.4%
End Cash Position
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
61.51M
66.0%
69.93M
13.7%
78.09M
11.7%
55.9M
-28.4%
125.33M
124.2%
91.03M
-27.4%
Free Cash Flow
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
9.87M
-
173.84M
1662.0%
129.22M
-25.7%
3.57M
-97.2%
42.27M
1084.5%
81.79M
93.5%
Net Income (Cont Operations)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-73.92M
-
-15.87M
-
8.68M
-
21.53M
148.2%
27.71M
28.7%
48.08M
73.5%
Diluted Net Income
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-62.33M
-
-12.16M
-
9.05M
-
20.68M
128.5%
23.56M
13.9%
33.96M
44.2%
Diluted EPS
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-0.261
-
-0.051
-
0.035
-
0.087
150.0%
0.099
13.7%
0.142
42.6%
Return On Equity (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-20.09%
-
-
3.21%
-
-
7.76%
-
-
Return On Assets (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-9.36%
-
-
1.37%
-
-
3.35%
-
-
Values are in GBP whenever applicable | Fiscal year ends on February 29
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