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Digital Workforce Services Plc - Half-Year Financial Report 2026

Key Figures

1 000 euros 4–6/2026 4–6/2025 Change % 1–6/2026 1–6/2025 Change % 2025
Revenue 7 782 5 943 31% 15 417 11 222 37% 24 263
Professional Services revenue 3 453 2 597 33% 6 528 4 581 42% 10 218
Continuous Services revenue 4 329 3 346 29% 8 889 6 641 34% 14 045
Continuous Services' share of revenue 56% 56% 58% 59% 58%
Gross profit1 3 070 2 674 15% 6 122 4 463 37% 10 258
% of revenue 39 % 45% 40% 40% 42%
EBITDA 373 401 -7% 795 -802 199% 57
% of revenue 5% 7% 5% -7% 0%
EBITDA adj.2 507 401 26% 1 006 79 1172% 1 265
% of revenue 7% 7% 7% 1% 5%
EBIT -178 309 -157% -303 -985 131% -625
% of revenue -2% 5% -2% -9% -3%
Net income -367 220 -267% -590 -1 097 154% -851
EPS, eur -0.03 0.02 -0.05 -0.1 -0.07
Capital expenditure -609 -665 -3 806
Operating cash flow -131 -1 885 -1 822
Net debt -3 448 -8 590 -3 448 -8 590 -5 512
Net debt ratio, % -28% -67% -28% -67% -39%
Equity ratio, % 43% 72% 43% 72% 43%
Personnel at the end of the period 188 179 188 179 181
Average number of personnel 187 174 185 173 174

1 Gross profit for previous periods has been modified after initial publication due to incorrectly reported expense account. Difference is included in indirect expenses. EBITDA remains as initially published.

2 EBITDA adjustments are described in the table included in the Financial review section of this report.