Caffe Nero Group Holdings Ltd
GB
|
Active
Financials
- History
- Growth
- Notes
Summary |
---|
Reporting Period (Months) |
Consolidated Accounts |
Number of Employees |
Turnover |
Post-tax Profit |
Total Assets |
Net Assets |
Return on Capital Employed (%) |
Debt to Capital (%) |
31 May 2024 | |
---|---|
12 | |
Y | |
6,965 | |
519,841,000 GBP | |
-36,711,000 GBP | |
482,965,000 GBP | 0.51% |
-209,492,000 GBP | 27.29% |
8.08 % | |
143.38 % |
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