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TEAD

Teads B.V.

NASDAQ: TEAD · COMMUNICATION SERVICES · INTERNET CONTENT & INFORMATION

$1.01
-7.26% today

Updated 2026-06-04

Market cap
$126.09M
P/E ratio
P/S ratio
0.10x
EPS (TTM)
$-5.39
Dividend yield
52W range
$1 – $3
Volume
0.3M

Teads B.V. (TEAD) Financial statements

SEC filings — annual and quarterly data.

Profit margin
-39.76%
Operating margin
-1.23%
ROE
-190.90%
ROA
-1.28%
Debt/equity
12.82x

Margin trends — annual

Gross margin Operating margin Profit margin
YearRevenueNet incomeGross marginOp. marginProfit margin
2010$1.67B100.00%-0.48%
2011$1.09B$55.10M46.55%7.66%5.07%
2012$1.24B$-19.20M47.61%8.53%-1.55%
2013$1.24B$146.00M49.92%14.60%11.75%
2014$1.26B$33.50M35.57%3.21%2.65%
2015$1.19B$36.80M40.94%2.13%3.10%
2016$1.19B$107.40M45.08%8.05%8.99%
2019$687.33M$-20.51M20.63%-2.12%-2.98%
2020$767.14M$4.36M21.52%1.33%0.57%
2021$1.02B$10.99M23.66%3.40%1.08%
2022$992.08M$-24.58M19.42%-1.37%-2.48%
2023$935.82M$10.24M19.75%-0.92%1.09%
2024$889.88M$-711000.0021.59%-1.42%-0.08%
2025$1.30B$-517.07M32.99%-1.23%-39.76%

Frequently asked questions

What is Teads B.V.'s revenue?

Teads B.V.'s trailing twelve-month revenue is $1.28B. Revenue is the top line the whole model builds on, and at this scale the question shifts from how fast it grows to whether margins hold as it compounds.

How profitable is TEAD?

In its most recent fiscal year, TEAD ran a gross margin of 32.99%, an operating margin of -1.23%, and a net margin of -39.76%. Margins this high mean most of each extra dollar of revenue drops through to profit, which is the signature of real pricing power.

How much free cash flow does TEAD generate?

TEAD produced $-9.54M in free cash flow in its most recent fiscal year. Free cash flow is what is left after running and reinvesting in the business, and it is the cash that actually funds buybacks, dividends, and a stronger balance sheet.

Is TEAD's balance sheet healthy?

TEAD holds $128.22M in cash and equivalents against $605.11M in long-term debt, on $95.44M of shareholder equity. That debt is best read against the cash flow the business throws off each year.