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PETG:VIE
Petrol dd Ljubljana
€63.80
-0.93%
(-0.60) 1D
Sep 9, 1:00:40 PM GMT+2  ·   EUR
All symbols
SymbolPriceChange% Change
Generating top insights for PETG...
Open
€64.00
High
€64.80
Low
€63.80
Mkt. cap
2.65B
Avg. vol.
25.00
Volume
1.00
Dividend
3.92%
Quarterly dividend
€0.63
Ex-dividend date
Jul 31, 2024
P/E ratio
16.79
52-wk high
€67.20
52-wk low
€49.20
EPS
€3.80
No. of employees
6K
Open
€64.00
High
€64.80
Low
€63.80
Mkt. cap
2.65B
Avg. vol.
25.00
Volume
1.00
Dividend
3.92%
Quarterly dividend
€0.63
Ex-dividend date
Jul 31, 2024
P/E ratio
16.79
52-wk high
€67.20
52-wk low
€49.20
EPS
€3.80
No. of employees
6K
Profile
Petrol Group is a Slovenian oil distributing company, which is one of the largest in Slovenia and the former Yugoslavia and controls 598 petrol stations, of which there are: 318 in Slovenia, 203 in Croatia, 42 in Bosnia and Herzegovina, 21 in Serbia, 15 in Montenegro. Wikipedia
About Petrol dd Ljubljana
CEO-
Employees5.69K
FoundedMay 12, 1945
Headquarters-
SectorAutomotive industry
Websitepetrol.si
Previous reportsAll values in EUR
Loading Previous Earnings...
Income statement
Revenue
Net income
All values in EUR
Sep 2025
Dec 2025
Mar 2026
Jun 2026
Revenue
1.55B
1.60B
1.53B
1.81B
Cost of goods sold
1.43B
1.51B
1.47B
1.73B
Cost of revenue
1.43B
1.51B
1.47B
1.73B
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
-
17.04M
-
-
Operating expense
38.19M
52.33M
48.28M
16.04M
Total operating expenses
1.47B
1.56B
1.52B
1.75B
Operating income
76.19M
45.38M
14.75M
64.44M
Other non operating income
-
400.00K
-
21.83M
EBT including unusual items
75.57M
50.81M
9.89M
61.86M
EBT excluding unusual items
75.57M
44.11M
9.89M
61.86M
Income tax expense
14.99M
12.41M
1.56M
12.83M
Effective tax rate
19.84%
24.43%
15.82%
20.74%
Other operating expenses
13.25M
8.84M
23.19M
-9.80M
Net income
60.59M
38.35M
8.26M
49.01M
Net profit margin
3.91%
2.39%
0.54%
2.70%
Earnings per share
-
-
-
-
Interest and investment income
7.66M
28.40M
9.59M
-
Interest expense
-8.27M
-35.25M
-14.52M
-24.47M
Net interest expenses
-613.00K
-6.84M
-4.93M
-24.47M
Depreciation and amortization charges
24.94M
26.45M
25.09M
25.84M
EBITDA
101.13M
46.40M
39.84M
90.28M
Gain or loss from assets sale
-980.00K
337.00K
311.00K
-1.42M
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