S.S. Lazio

SSL · Borsa Italiana · EUR

€1.67Change from previous close: +1.52%Absolute change: +€0.02

Close · October 2, 2026

At a glance

Revenue growth
−27.42%
FY to Jun 2025 vs FY to Jun 2024
Net margin
-5.1%
FY to Jun 2024: 14.8%

Financial data

Amounts in millions of EUR; per-share values in EUR; shares in millions.

Cash flow · Annual
ItemFY to Jun 2025FY to Jun 2024FY to Jun 2023FY to Jun 2022FY to Jun 2021
Operating cash flow-16.47.526.2-27.257.7
Depreciation and amortization35.430.430.233.934.6
Capital expenditure-3.6-3.6-4.2-3.3-5.2
Investing cash flow-14.8-5.7-24.71.4-31.6
Financing cash flow34.1-1.7-2.825.7-23.5
Debt issued109147—20.6—
Debt repaid-88.7-153-0.5—-22.7
Net change in cash2.90.1-1.3-0.12.6
Free cash flow-20.03.922.0-30.552.5
Levered free cash flow-18.641.3-33.417.511.7