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Financials in GBp. Standardized financial statements.
A compact view of how TEAM plc turns revenue into operating income and net income.
| Metric | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
|---|---|---|---|---|---|---|
| Revenue? | £11.95M | £10.28M | £5.32M | £2.12M | £1.47M | £560,800 |
| Revenue Growth? | +16.3% | +93.1% | +151.1% | +44.3% | +161.9% | 0.0% |
| Cost of Revenue? | £7.83M | £4.50M | £924,000 | £414,000 | £267,000 | £55,200 |
| Gross Profit? | £4.12M | £5.77M | £4.40M | £1.71M | £1.20M | £505,600 |
| Gross Margin? | +34.5% | +56.2% | +82.6% | +80.5% | +81.8% | +90.2% |
| Operating Expenses? | £6.71M | £8.65M | £6.47M | £3.26M | £2.95M | £877,600 |
| Operating Income? | -£2.58M | -£2.88M | -£2.08M | -£1.56M | -£1.74M | -£332,000 |
| EBITDA? | -£1.43M | -£1.58M | £980,000 | -£812,000 | -£1.49M | -£241,600 |
| Income Before Tax | -£3.03M | -£2.92M | -£443,000 | -£1.59M | -£1.75M | -£373,600 |
| Income Tax Expense | £197,000 | -£14,000 | £2,000 | -£64,000 | -£45,000 | -£4,000 |
| Net Income? | -£3.23M | -£2.91M | -£445,000 | -£1.52M | -£1.71M | -£369,600 |
| EPS? | £-0.06 | £-0.09 | £-0.02 | £-0.08 | £-0.10 | £-0.02 |
| Diluted EPS? | £-0.06 | £-0.09 | £-0.02 | £-0.08 | £-0.10 | £-0.02 |
Revenue, profitability, margins, EPS, and share-count trends over time.
Top-line demand and scale over time
Profit left after direct production costs
Core business profitability before financing and tax
Bottom-line profit after all expenses
Profit allocated to each diluted share
Share count trend that affects EPS quality
Gross, operating, and net margin quality