Below are the financial statements of Remy Cointreau, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
| All figures in millions of EUR | 2025 | 2024 |
|---|---|---|
| Sales | 984.6a | 1,194.1a |
| Cost of sales | -289.8a | -344a |
| Gross margin | 694.8a | 850.2a |
| Distribution and administrative expenses | -477.8a | -545.8a |
| Current operating profit | 217a | 304.4a |
| Other non-current income/(expense) | -6a | -12.8a |
| Operating profit | 211a | 291.6a |
| Net borrowing cost | -33.7a | -31.7a |
| Other financial income/(expense) | -8.9a | -6.8a |
| Net financial income/(expense) | -42.6a | -38.5a |
| Profit before tax and share of profit of associates | 168.4a | 253.2a |
| Income tax | -48.2a | -69.4a |
| Share of profit of associates | 0.5a | 0.6a |
| Profit for the period | 120.7a | 184.4a |
| Of which | — | — |
| Attributable to the owners of the parent | 121.2a | 184.8a |
| Attributable to non-controlling interests | -0.5a | -0.4a |
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