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Flight Centre Travel Group Limited

Data quality: 100%
Oversold
FGETF
OTC Consumer Cyclical Travel Services
$8.50
$0.00 (0.00%)
Mkt Cap: 1.79B
Day Range
$8.15 $8.50
52-Week Range
$8.07 $10.12
Volume
1
50D / 200D Avg
$9.69 / $8.67
Prev Close
$8.50

Price History

Financial Trends

Peer Comparison

vs Consumer Cyclical sector median (610 peers)

Metric Stock Sector Median
P/E 16.4 11.1
P/B 1.5 1.4
ROE % 9.0 10.7
Net Margin % 3.9 5.1
Rev Growth 5Y % 62.8 8.3
D/E 0.7 0.8

Analyst Price Target

No analyst coverage available

Earnings Estimates

Period EPS Est. Revenue Est. Analysts
FY2029 $1.61
$1.56 – $1.68
3.8 B 1
FY2028 $1.51
$1.46 – $1.58
3.6 B 1
FY2027 $1.36
$1.32 – $1.42
3.5 B 1

Key Takeaways

Revenue grew 62.84% annually over 5 years — strong growth
Earnings declined -21.59% over the past year
Generating 36.50M in free cash flow
Revenue growth is decelerating — 1Y growth trails 5Y average by 60.14%
Capital efficient — spends only 3.69% of revenue on capex

Growth

Revenue Growth (5Y)
62.84%
Revenue (1Y)2.70%
Earnings (1Y)-21.59%
FCF Growth (3Y)-24.56%

Quality

Return on Equity
9.02%
ROIC7.93%
Net Margin3.93%
Op. Margin8.01%

Safety

Debt / Equity
0.72
Current Ratio1.03
Interest Coverage4.14

Valuation

P/E Ratio
16.37
P/B Ratio1.46
EV/EBITDA8.26
Dividend Yield0.03%

All Fundamental Metrics

Growth
Revenue Growth (1Y) 2.70% Revenue Growth (3Y) 10.48%
Earnings Growth (1Y) -21.59% Earnings Growth (3Y) 51.89%
Revenue Growth (5Y) 62.84% Earnings Growth (5Y) N/A
Profitability
Revenue (TTM) 2.78B Net Income (TTM) 109.49M
ROE 9.02% ROA 2.66%
Gross Margin 94.08% Operating Margin 8.01%
Net Margin 3.93% Free Cash Flow (TTM) 36.50M
ROIC 7.93% FCF Growth (3Y) -24.56%
Safety
Debt / Equity 0.72 Current Ratio 1.03
Interest Coverage 4.14 Dividend Yield 0.03%
Valuation
P/E Ratio 16.37 P/B Ratio 1.46
P/S Ratio 0.64 PEG Ratio -1.13
EV/EBITDA 8.26 Dividend Yield 0.03%
Market Cap 1.79B Enterprise Value 1.84B

Income Statement

Annual, most recent first

Income statement data, annual, most recent first
Metric FY2025 FY2024 FY2023 FY2022 FY2021
Revenue 2.78B 2.71B 2.28B 1.01B 395.91M
Net Income 109.49M 139.64M 47.46M -286.65M -433.13M
EPS (Diluted) 0.49 0.50 0.23 -1.44 -2.17
Gross Profit 2.62B 2.56B 2.18B 982.91M 393.58M
Operating Income 223.05M 243.51M 115.62M -402.22M -406.23M

Balance Sheet

Annual, most recent first

Balance sheet data, annual, most recent first
Metric FY2025 FY2024 FY2023 FY2022 FY2021
Total Assets 4.11B 4.21B 4.44B 3.73B 3.26B
Total Liabilities 2.89B 3.01B 3.30B 2.95B 2.31B
Shareholders' Equity 1.22B 1.20B 1.14B 775.83M 956.04M
Total Debt 884.11M 988.15M 1.36B 1.32B 1.28B
Cash & Equivalents 834.21M 1.16B 1.35B 1.24B 1.30B
Current Assets 2.17B 2.48B 2.63B 2.11B 1.82B
Current Liabilities 2.11B 2.30B 1.97B 1.63B 1.26B