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Brera Holdings PLC

Company overview

Market capitalization
—
Employees
34
Latest publication
2026-09-29
About Brera Holdings PLC

Brera Holdings PLC develops, manages, and operates football clubs. It operates through Legacy Sports Portfolio and Digital Asset Treasury Portfolio segments. The company operates a football club under the Brera FC brand name. It is also involved in providing player transfer, sponsorship services, and sports-related advisory and consulting services. Brera Holdings PLC was founded in 2000 and is based in Dublin, Ireland.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · EURQ2 20252025-06-30 · EURQ4 20242024-12-31 · EURQ2 20242024-06-30 · EURQ4 20232023-12-31 · EURQ2 20232023-06-30 · EURQ4 20222022-12-31 · EURQ2 20222022-06-30 · EUR
Total Revenue4,179,303EUR298,745EUR1,379,163EUR531,998EUR1,155,690EUR85,399EUR31,294EUR143,658EUR
Unclassified Operating Expenses299,313,622EUR4,623,181EUR3,541,418EUR3,450,928EUR4,666,506EUR1,075,801EUR1,066,686EUR—
Total Operating Expenses299,313,622EUR4,623,181EUR3,541,418EUR3,450,928EUR4,666,506EUR1,075,801EUR1,066,686EUR158,815EUR
Operating Income-296,238,743EUR-4,403,119EUR-2,573,891EUR-2,994,855EUR-4,068,827EUR-1,677,448EUR-1,146,899EUR-98,743EUR
Interest Expense141,292EUR94,641EUR47,464EUR6,254EUR21,021EUR2,786EUR7,603EUR2,084EUR
Income Before Tax-373,713,341EUR-2,121,892EUR-2,058,923EUR-2,847,178EUR-3,622,305EUR-1,644,308EUR-1,154,747EUR-95,245EUR
Income Tax Expense-1,100,790EUR—-44,531EUR—40,814EUR3,621EUR-8,751EUR9,434EUR
Net Income-371,429,644EUR-2,104,119EUR-1,635,184EUR-3,152,851EUR-3,158,219EUR-1,640,977EUR-1,145,996EUR-104,679EUR
Ebit-296,238,742EUR-2,027,251EUR-2,011,460EUR-2,840,917EUR-3,601,280EUR-1,641,519EUR-1,147,148EUR-93,163EUR
Ebitda-295,134,318EUR-1,958,074EUR-1,745,921EUR-2,795,543EUR-3,385,880EUR-1,294,267EUR-1,096,942EUR-42,087EUR
Depreciation And Amortization1,104,424EUR69,177EUR265,539EUR45,374EUR215,400EUR347,252EUR50,206EUR51,076EUR
Total Other Income Expense Net-77,474,598EUR2,281,226EUR514,968EUR147,677EUR446,521EUR33,139EUR-7,848EUR3,498EUR
Cost Of Revenue—78,684EUR411,641EUR75,922EUR558,008EUR687,047EUR111,509EUR83,591EUR
Gross Profit—220,060EUR967,522EUR456,075EUR597,682EUR-601,648EUR-80,214EUR60,067EUR
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · EURFY 20242024-12-31 · EURFY 20232023-12-31 · EURFY 20222022-12-31 · EURFY 20212021-12-31 · EURFY 20202020-12-31 · EUR
Total Revenue4,307,028EUR2,886,119EUR1,147,492EUR162,407EUR420,167EUR244,816EUR
Cost Of Revenue1,129,585EUR222,426EUR100,877EUR90,270EUR110,588EUR88,446EUR
Gross Profit3,177,441EUR2,663,692EUR1,046,615EUR72,137EUR309,579EUR156,370EUR
Selling General Administrative20,764,000EUR6,358,679EUR4,106,088EUR1,130,631EUR241,771EUR—
Unclassified Operating Expenses272,986,107EUR1,194,882EUR1,876,396EUR———
Total Operating Expenses293,750,107EUR8,219,733EUR6,417,782EUR1,298,873EUR316,669EUR166,959EUR
Operating Income-290,572,665EUR-5,556,040EUR-5,371,167EUR-1,226,736EUR-7,090EUR-10,588EUR
Interest Expense219,961EUR72,614EUR3,914EUR4,988EUR2,693EUR1,238EUR
Net Interest Income-229,000EUR-88,996EUR-22,014EUR-9,412EUR-5,411EUR—
Income Before Tax-363,506,873EUR-5,089,998EUR-4,870,580EUR-1,226,855EUR-57,725EUR12,247EUR
Income Tax Expense-1,065,229EUR-41,137EUR41,085EUR—29,331EUR9,388EUR
Tax Provision-1,109,000EUR-41,137EUR41,085EUR0EUR29,331EUR—
Net Income-361,281,319EUR-4,427,545EUR-4,438,440EUR-1,226,855EUR-87,056EUR2,859EUR
Net Income From Continuing Ops-377,334,000EUR-5,048,861EUR-4,911,665EUR-1,226,855EUR-87,056EUR—
Ebit-290,572,664EUR-5,017,384EUR-4,866,666EUR-1,221,867EUR-55,032EUR13,482EUR
Ebitda-289,443,079EUR-4,396,623EUR-4,569,281EUR-1,125,555EUR13,849EUR16,947EUR
Depreciation And Amortization1,129,585EUR620,761EUR297,385EUR96,312EUR68,881EUR3,465EUR
Reconciled Depreciation1,176,000EUR620,761EUR297,384EUR96,312EUR68,881EUR—
Total Other Income Expense Net-72,934,208EUR466,042EUR500,587EUR-119EUR-50,635EUR22,835EUR
Minority Interest1,822,000EUR621,316EUR473,225EUR0EUR0EUR—
Research Development—54,746EUR44,551EUR0EUR0EUR—
Selling And Marketing Expenses—611,426EUR390,747EUR57,032EUR1,210EUR—
Interest Income——47,000EUR———
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · EURQ4 20252025-12-31 · EURQ2 20252025-06-30 · EURQ4 20242024-12-31 · EURQ2 20242024-06-30 · EURQ4 20232023-12-31 · EURQ2 20232023-06-30 · EURQ4 20222022-12-31 · EUR
Total Assets164,269,056EUR164,339,000EUR33,139,927EUR10,118,293EUR6,325,090EUR8,490,276EUR6,311,047EUR1,125,099EUR
Intangible Assets106,631,597EUR96,603,000EUR17,937,576EUR1,910,047EUR3,545,378EUR3,460,887EUR697,149EUR—
Other Current Assets989,579EUR990,000EUR82,979EUR48,769EUR88,273EUR71,722EUR64,661EUR441,455EUR
Total Liab22,362,478EUR22,372,000EUR22,248,945EUR6,299,696EUR5,681,116EUR5,545,786EUR1,269,769EUR1,256,312EUR
Total Stockholder Equity141,947,560EUR142,008,000EUR10,627,751EUR3,978,830EUR498,227EUR2,527,732EUR4,955,344EUR-139,039EUR
Other Current Liab1,398,404EUR—2,920,296EUR2,685,000EUR—-9,295EUR84,871EUR37,400EUR
Common Stock3,443,533EUR—131,677EUR75,527EUR59,388EUR60,107EUR58,237EUR49,407EUR
Retained Earnings-385,869,701EUR-386,034,000EUR-13,608,189EUR-10,372,176EUR-8,861,620EUR-6,608,240EUR-3,300,044EUR-1,607,482EUR
Cash16,192,105EUR16,199,000EUR772,552EUR1,531,994EUR425,959EUR2,293,518EUR5,039,395EUR347,229EUR
Cash And Short Term Investments16,192,105EUR—772,552EUR1,531,994EUR425,959EUR2,293,518EUR5,039,395EUR347,229EUR
Total Current Assets57,602,473EUR57,627,000EUR3,256,824EUR2,945,934EUR1,239,998EUR2,949,937EUR5,210,923EUR825,345EUR
Total Current Liabilities16,459,991EUR16,467,000EUR11,541,706EUR4,218,359EUR3,610,201EUR4,495,916EUR858,424EUR1,013,826EUR
Current Deferred Revenue1,308,442EUR—362,811EUR291,141EUR224,248EUR532,344EUR244,654EUR239,328EUR
Net Debt-13,543,234EUR—-558,322EUR-329,497EUR595,252EUR-1,160,855EUR-4,869,719EUR-17,903EUR
Short Long Term Debt Total2,648,871EUR—214,229EUR1,202,497EUR1,021,211EUR1,132,663EUR169,675EUR329,326EUR
Net Receivables40,420,789EUR4,117,000EUR2,382,695EUR1,353,015EUR709,398EUR584,697EUR106,866EUR36,661EUR
Accounts Payable13,753,143EUR13,759,000EUR8,100,839EUR3,438,655EUR3,104,095EUR3,667,281EUR376,366EUR650,258EUR
Property Plant Equipment Net34,984EUR—69,640EUR1,866,067EUR1,158,950EUR1,171,637EUR16,100EUR319,912EUR
Accumulated Other Comprehensive Income524,373,728EUR—24,100,043EUR14,272,856EUR9,301,394EUR9,341,425EUR8,197,152EUR1,419,035EUR
Common Stock Shares Outstanding8,199,477shares8,199,476shares8,199,477shares3,406,169shares4,241,877shares3,886,860shares3,801,855shares3,801,855shares
Non Current Assets Total106,666,582EUR106,712,000EUR29,883,103EUR7,172,359EUR5,085,092EUR5,540,339EUR1,100,124EUR299,754EUR
Non Current Liabilities Total5,902,486EUR5,905,000EUR10,707,238EUR2,081,337EUR2,070,915EUR1,049,870EUR411,344EUR242,486EUR
Unclassified Non Current Liabilities5,902,486EUR5,799,000EUR10,628,220EUR1,744,117EUR1,547,846EUR1,049,870EUR——
Capital Stock—3,445,000EUR—78,150EUR59,388EUR———
Good Will—10,074,000EUR11,825,809EUR896,245EUR242,491EUR592,491EUR250,930EUR—
Non Current Liabilities Other—106,000EUR—120,000EUR237,000EUR———
Non Currrent Assets Other—35,000EUR—6,316,000EUR—-110,996EUR—-21,155EUR
Net Working Capital—41,160,000EUR—-1,272,425EUR-2,370,203EUR———
Unclassified Current Assets—36,321,000EUR——————
Unclassified Current Liabilities—2,708,000EUR—-3,105,251EUR————
Unclassified Equity—524,597,000EUR——————
Short Term Debt——157,760EUR488,563EUR240,721EUR305,586EUR152,532EUR86,840EUR
Long Term Debt——79,018EUR217,220EUR286,069EUR———
Inventory——18,596EUR12,156EUR16,368EUR———
Short Long Term Debt———420,251EUR75,000EUR———
Long Term Investments———2,500,000EUR138,273EUR———
Property Plant Equipment Gross———2,118,495EUR1,281,129EUR———
Unclassified Non Current Assets———-6,316,000EUR————
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · EURFY 20242024-12-31 · EURFY 20232023-12-31 · EURFY 20222022-12-31 · EURFY 20212021-12-31 · EURFY 20202020-12-31 · EUR
Total Assets164,269,056EUR10,118,293EUR8,490,276EUR1,125,099EUR598,165EUR193,752EUR
Intangible Assets106,631,597EUR1,910,047EUR3,460,887EUR———
Other Current Assets989,579EUR48,769EUR71,722EUR441,455EUR69,194EUR—
Total Liab22,362,478EUR6,299,696EUR5,545,786EUR1,256,312EUR851,986EUR381,075EUR
Total Stockholder Equity141,947,560EUR3,978,830EUR2,527,732EUR-131,213EUR-253,821EUR-187,323EUR
Other Current Liab1,398,404EUR2,685,000EUR——239,506EUR318,578EUR
Common Stock3,443,533EUR75,527EUR54,413EUR46,294EUR13,939EUR17,055EUR
Capital Stock3,445,000EUR78,150EUR54,413EUR46,294EUR13,939EUR—
Retained Earnings-385,869,701EUR-10,372,176EUR-5,982,203EUR-1,506,191EUR-279,336EUR-235,264EUR
Good Will10,074,000EUR896,245EUR592,491EUR0EUR——
Cash16,192,105EUR1,531,994EUR2,293,518EUR347,229EUR26,957EUR65,303EUR
Cash And Short Term Investments16,192,105EUR1,531,994EUR2,293,518EUR347,229EUR26,957EUR65,303EUR
Total Current Assets57,602,473EUR2,945,934EUR2,949,937EUR825,345EUR220,578EUR170,745EUR
Total Current Liabilities16,459,991EUR4,218,359EUR4,495,916EUR1,013,826EUR534,483EUR349,568EUR
Current Deferred Revenue1,308,442EUR291,141EUR481,912EUR224,248EUR29,371EUR—
Net Debt-13,543,234EUR-329,497EUR-1,160,855EUR-17,903EUR391,150EUR-31,510EUR
Short Long Term Debt Total2,648,871EUR1,202,497EUR1,132,663EUR329,326EUR418,107EUR33,793EUR
Net Receivables40,420,789EUR1,353,015EUR584,697EUR36,661EUR124,427EUR105,441EUR
Accounts Payable13,753,143EUR3,438,655EUR3,667,281EUR650,258EUR111,698EUR28,704EUR
Property Plant Equipment Net34,984EUR1,866,067EUR1,060,642EUR299,754EUR377,587EUR5,952EUR
Accumulated Other Comprehensive Income524,373,728EUR14,272,856EUR8,456,457EUR1,329,619EUR25,515EUR30,886EUR
Common Stock Shares Outstanding8,199,477shares3,406,169shares3,800,875shares3,716,851shares3,801,855shares3,801,855shares
Non Current Assets Total106,666,582EUR7,172,359EUR5,540,339EUR299,754EUR377,587EUR23,007EUR
Non Current Liabilities Total5,902,486EUR2,081,337EUR1,049,870EUR242,486EUR317,503EUR31,507EUR
Non Current Liabilities Other106,000EUR120,000EUR181,000EUR———
Non Currrent Assets Other35,000EUR6,316,000EUR-1EUR———
Net Working Capital41,160,000EUR-1,272,425EUR-1,545,979EUR-188,481EUR-313,905EUR—
Unclassified Non Current Assets-10,108,999EUR-6,316,000EUR————
Unclassified Non Current Liabilities5,796,486EUR1,744,117EUR————
Unclassified Equity-3,445,000EUR—————
Short Term Debt—488,563EUR305,586EUR86,840EUR100,604EUR2,285EUR
Short Long Term Debt—420,251EUR197,664EUR6,203EUR23,084EUR—
Long Term Debt—217,220EUR226,077EUR15,713EUR21,916EUR—
Long Term Investments—2,500,000EUR426,320EUR0EUR——
Inventory—12,156EUR0EUR———
Property Plant Equipment Gross—2,118,495EUR1,135,295EUR470,448EUR451,969EUR—
Unclassified Current Liabilities—-3,105,251EUR————
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · EURQ2 20252025-06-30 · EURQ4 20242024-12-31 · EURQ2 20242024-06-30 · EURQ4 20232023-12-31 · EURQ2 20232023-06-30 · EURQ4 20222022-12-31 · EURQ2 20222022-06-30 · EUR
Net Income-371,429,457EUR-1,433,724EUR-1,635,184EUR-2,554,253EUR-3,158,219EUR-1,640,977EUR-1,145,996EUR-104,679EUR
Depreciation1,104,424EUR69,177EUR265,539EUR45,374EUR215,400EUR347,252EUR50,206EUR51,076EUR
Other Non Cash Items361,273,647EUR-2,182,163EUR-485,673EUR907,837EUR-785,901EUR401,574EUR-9,354EUR10,954EUR
Change To Account Receivables-3,697,352EUR625,023EUR-1,648,334EUR-294,131EUR-203,649EUR-66,230EUR46,727EUR36,870EUR
Change In Working Capital3,005,394EUR94,692EUR116,572EUR-273,513EUR1,895,962EUR108,936EUR137,240EUR80,783EUR
Total Cash From Operating Activities-7,682,784EUR-3,452,018EUR-1,738,746EUR-1,874,555EUR-1,832,758EUR-783,215EUR-967,904EUR38,134EUR
Capital Expenditures-13,985EUR-1,061EUR-3,013EUR-2,524EUR-216,271EUR-4EUR-95EUR-1,324EUR
Free Cash Flow-7,696,769EUR-3,453,080EUR-1,741,760EUR-1,877,080EUR-2,049,030EUR-783,220EUR-967,810EUR36,810EUR
Total Cashflows From Investing Activities-105,764,521EUR-3,346,877EUR-403,669EUR84,498EUR-1,217,873EUR-955,992EUR-25,235EUR-1,320EUR
Total Cash From Financing Activities126,749,543EUR5,595,982EUR3,380,428EUR-115,484EUR517,607EUR6,367,000EUR1,299,036EUR-45,325EUR
Sale Purchase Of Stock-13,895EUR———————
Change In Cash15,534,586EUR-813,827EUR1,129,858EUR-2,077,013EUR-2,505,861EUR4,668,815EUR350,544EUR-10,619EUR
Begin Period Cash Flow657,519EUR1,586,379EUR456,521EUR2,533,534EUR5,039,395EUR370,580EUR20,036EUR30,655EUR
End Period Cash Flow16,192,105EUR772,552EUR1,586,379EUR456,521EUR2,533,534EUR5,039,395EUR370,580EUR20,036EUR
Other Cashflows From Investing Activities-1,516EUR-35,539EUR144,078EUR87,020EUR-356,866EUR-104,260EUR——
Other Cashflows From Financing Activities31,226EUR532,441EUR9,848EUR-117,714EUR-63,065EUR-327,107EUR-62,276EUR-45,325EUR
Unclassified Operating Cash Flow-1,636,792EUR———————
Unclassified Investing Cash Flow-105,749,020EUR-3,310,277EUR——————
Unclassified Financing Cash Flow126,732,212EUR5,063,541EUR3,370,580EUR——6,694,107EUR1,361,312EUR—
Change To Inventory—-8,129EUR4,532EUR-17,691EUR————
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · EURFY 20242024-12-31 · EURFY 20232023-12-31 · EURFY 20222022-12-31 · EURFY 20212021-12-31 · EURFY 20202020-12-31 · EUR
Net Income-360,691,552EUR-5,048,861EUR-4,911,665EUR-1,226,855EUR-87,056EUR2,859EUR
Depreciation1,129,585EUR620,761EUR297,384EUR96,312EUR68,881EUR3,465EUR
Stock Based Compensation269,125,000EUR170,317EUR170,317EUR0EUR——
Other Non Cash Items347,881,889EUR677,134EUR-23,912EUR-2,068EUR-3,796EUR4,704EUR
Change To Account Receivables-3,063,138EUR-677,070EUR-249,910EUR82,505EUR-38,250EUR-25,268EUR
Change In Working Capital2,986,295EUR459,287EUR1,590,488EUR477,859EUR48,820EUR21,812EUR
Total Cash From Operating Activities-10,277,699EUR-3,121,362EUR-2,614,704EUR-917,436EUR26,849EUR32,841EUR
Capital Expenditures-14,405EUR-213,942EUR-203,947EUR-1,209EUR-16,353EUR0EUR
Free Cash Flow-10,292,105EUR-3,335,304EUR-2,622,471EUR-918,645EUR10,496EUR32,840EUR
Investments-103,491,000EUR419,097EUR-426,320EUR0EUR0EUR—
Total Cashflows From Investing Activities-105,104,368EUR-294,845EUR-2,172,809EUR-26,209EUR-16,353EUR—
Net Borrowings146,000EUR85,592EUR-398,555EUR-105,600EUR-34,762EUR—
Total Cash From Financing Activities127,263,857EUR2,677,144EUR6,881,267EUR1,237,144EUR-36,911EUR26,629EUR
Sale Purchase Of Stock-13,447EUR0EUR0EUR———
Issuance Of Capital Stock131,706,000EUR2,620,344EUR6,777,120EUR1,346,607EUR0EUR—
Change In Cash14,850,745EUR-761,524EUR1,946,289EUR320,272EUR-26,415EUR65,303EUR
Begin Period Cash Flow1,341,359EUR2,293,518EUR347,229EUR26,957EUR53,372EUR—
End Period Cash Flow16,192,105EUR1,531,994EUR2,293,518EUR347,229EUR26,957EUR65,303EUR
Other Cashflows From Investing Activities-30,737EUR-14,767EUR-167,024EUR———
Other Cashflows From Financing Activities468,740EUR2,591,552EUR502,702EUR-3,863EUR-2,149EUR-1,870EUR
Unclassified Operating Cash Flow-270,708,916EUR—————
Unclassified Investing Cash Flow-1,568,226EUR—-1,375,518EUR———
Unclassified Financing Cash Flow126,662,564EUR—6,777,120EUR———
Change To Inventory—-12,156EUR0EUR0EUR——
Dividends Paid—0EUR0EUR0EUR0EUR—
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.