Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Holaluz-Clidom S.A. is a renewable energy company specializing in the commercialization of green electricity and gas. Its primary function is to supply 100% renewable energy to customers, facilitating the energy transition toward a decarbonized economy. Notable features include the Holaluz Cloud system, which enables customers to offset surplus energy from solar panels against their electricity bills, along with offerings for solar panel installations, batteries, electric car chargers, and related engineering services. The company operates across business segments such as Commercialization of Electricity and Gas, Representation for Electricity, and Solar energy solutions. It also engages in energy production, telecommunications, building maintenance, and civil works tied to renewable projects. Holaluz-Clidom S.A. plays a key role in the utilities sector, particularly in renewable energy, by building Europe's largest green energy community and promoting sustainable practices across its value chain. Founded in 2010 and headquartered in Barcelona, Spain, it focuses on environmental stewardship, customer-centric services, and responsible supply chain management.
€0.78
+€0.00 (+0.00%)
EOD Jun 23, 2026 · Twelve Data
The business is unprofitable at the operating level (-10.06% margin). The thesis depends entirely on whether and when it reaches sustainable profitability.
Revenue declined 41.4% YoY. The question is whether this is cyclical or a structural shift.
Free cash flow declined 209% versus the prior year, cash generation momentum has weakened. Negative free cash flow of -€27M. The business is consuming cash, not generating it.
Based on TTM earnings · Diluted shares
Profitability & Returns
Revenue (TTM)
€159M
▼ -41.4% YoY
Net Income (TTM)
-€22M
▲ +29.6% YoY
Op. Margin
-10.06%
▼ -1.4pp YoY
ROIC
-33.78%
▲ +3.6pp YoY
Cash Flow & Balance Sheet
FCF (TTM)
-€27M
▼ -209.3% YoY
Op. Cash Flow (TTM)
-€5M
▼ -119.2% YoY
Net Debt
€36M
Cash & Equiv.
€3M
3Y CAGR: -44.3%
Continue Research