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| 1 Year | 5 Year | 5 Year Annualized | Since IPO | |
|---|---|---|---|---|
| CDRO | -10% | N/A | N/A | -31% |
| S&P | +12.66% | +85.37% | +13.13% | +83% |
Codere Online Luxembourg SA provides online sports betting and online casino services. It operates through the following segments: Spain, Mexico, Colombia, Other Operations, and Supporting Entities. The Spain segment consists of the revenue generated by CDON. The Mexico segment comprises of the AenP pursuant to the AenP Agreement. The Colombia segment refers to revenue generated by Codere Online Colombia S.A.S. The Other Operations segment includes Panama, Italy, Malta, Israel, and Gibraltar. The Supporting Entities segment covers the revenue generated by Codere Online Management Services Limited, Codere Israel Marketing Support Services LTD, Codere Online Luxembourg S.A., Codere Online U.S. Corp., Codere (Gibraltar) Marketing Services LTD, Servicios de Juego Online S.A.U. and Surviving Corporation. The company was founded in 2014 and is headquartered in Luxembourg.
No news articles found for Codere Online Luxembourg.
| Q3 2025 | YOY Change | |
|---|---|---|
| Revenue | $55.74M | 3.1% |
| Market Cap | $314.92M | -13.0% |
| Market Cap / Employee | $0.97M | 0.0% |
| Employees | 325 | 0.0% |
| Net Income | $1.64M | 153.2% |
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| Q3 2025 | YOY Change | |
|---|---|---|
| Net Cash | $56.75M | 15.6% |
| Accounts Receivable | $1.09M | 0.0% |
| Inventory | 0 | 0.0% |
| Q3 2025 | YOY Change | |
|---|---|---|
| Long Term Debt | $2.35M | 321.1% |
| Short Term Debt | $0.00M | 0.0% |
| Q3 2025 | YOY Change | |
|---|---|---|
| Return On Assets | 7.08% | 0.0% |
| Return On Invested Capital | -39.09% | -60.9% |
| Q3 2025 | YOY Change | |
|---|---|---|
| Free Cash Flow | $4.40M | -23.5% |
| Operating Free Cash Flow | $4.40M | -20.5% |
| Metric | Q4 2024 | Q2 2025 | Q3 2025 | YoY Change | |
|---|---|---|---|---|---|
| Price to Earnings | 77.34 | 619.71 | 58.87 | - | |
| Price to Book | 14.46 | 16.25 | 19.03 | 13.09 | -15.11% |
| Price to Sales | 1.31 | 1.48 | 1.74 | 1.40 | -14.88% |
| Price to Tangible Book Value | 14.46 | 16.25 | 19.04 | 13.09 | -15.15% |
| Price to Free Cash Flow TTM | 80.66 | 32.14 | 29.45 | 26.68 | - |
| Free Cash Flow Yield | 1.2% | 3.1% | 3.4% | 3.7% | - |
| Return on Equity | -2.6% | 2.8% | 23.2% | - | |
| Total Debt | $5.56M | $2.27M | $2.47M | $2.35M | 321.13% |
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