Sporting Clube de Portugal - Futebol, SAD revenue and financials

SCP · Euronext Lisbon · EUR

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Close · October 7, 2026

In the fiscal year ended June 2025, Sporting Clube de Portugal - Futebol, SAD reported revenue of €148.15M (+44.61% year over year). Net income was €20.02M, a net margin of 13.5%.

Annual revenue · 2025: €148.15M
  1. €65.87M2016
  2. €76.61M2017
  3. €88.78M2018
  4. €72.88M2019
  5. €66.25M2020
  6. €57.1M2021
  7. €119.9M2022
  8. €117.87M2023
  9. €102.44M2024
  10. €148.15M2025

Fiscal year ending in June. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+44.61%
FY to Jun 2025 vs FY to Jun 2024
Net income growth
+65.77%
FY to Jun 2025 vs FY to Jun 2024
Net margin
13.5%
FY to Jun 2024: 11.8%

Financial data

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

Cash flow · Quarterly
ItemQ4 2025Q2 2025Q4 2024Q2 2024Q4 2023Q2 2023Q4 2022Q2 2022Q4 2021Q2 2021
Operating cash flow-5.6-15.8-14.6-46.5-45.7-39.9-1.9-42.4-13.129.7
Depreciation and amortization30.3-18.625.8-14.520.1-11.917.214.313.415.5
Capital expenditure-14.3-6.0-9.2-5.8-2.3-1.7-0.6-1.0-1.9-1.9
Investing cash flow-30.814.713.39.740.143.714.7-4.44.7-17.9
Financing cash flow159-4.014.926.214.6-6.8-6.035.315.1-7.1
Debt issued2250.040.030.090.9——38.771.4-5.2
Debt repaid-57.1-0.7-20.8-0.5-71.2-1.0-0.6-1.0-52.1-0.4
Net change in cash122-5.013.6-10.79.0-3.06.8-11.46.74.7
Free cash flow-19.9-21.8-23.8-52.3-48.0-41.6-2.5-43.3-15.127.8
Levered free cash flow-38.1-58.241.1-23.513.20.811.6-47.422.310.5