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Абрау-Дюрсо ABRD

Абрау-Дюрсо Finanzdaten 2008-2025 | ABRD

Schlüsselkennzahlen Абрау-Дюрсо

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008

Operating Cash Flow Per Share

-5.68 17.9 8.97 4.27 12.5 5.14 2.13 12.7 -2.69 16.6 4.86 - - - - -

Free Cash Flow Per Share

-20.2 3.98 1.36 1.23 -0.276 -0.463 -4.64 6.42 -6.46 3.84 -2.92 -2.48 -0.123 -4.84 -1.16 -

Cash Per Share

1.38 3.44 -1.68 -0.23 -9.41 -1.08 -5.34 -3.95 1.06 2.12 2.15 1.71 0.91 1.85 0.511 -

Price To Sales Ratio

2.06 1.57 1.92 2.25 1.66 1.82 2.16 1.18 0.935 0.898 1.5 1.59 1.21 1.3 3.18 -

Dividend Yield

0.023 0.017 0.015 0.005 0.02 0.02 0.009 0.005 - 0.01 - - - - - -

Payout Ratio

0.473 0.184 0.207 0.087 0.217 0.257 0.153 0.081 - 1.87 - - - - - -

Revenue Per Share

128 121 101 89 84 78.2 67.6 84.9 106 105 68 47.7 43.7 40.7 16.7 -

Net Income Per Share

12.9 17.9 13.8 11.3 13.1 11.1 8.43 6.06 2.07 0.51 8.9 4.29 6.19 3.47 1.09 -

Book Value Per Share

136 129 115 104 94 83.8 74.9 81.4 57.3 53.2 53.9 45.5 40.8 63.7 38.3 -

Tangible Book Value Per Share

136 128 115 104 93.6 83.7 74.6 81 56.8 53.2 53.8 45.4 40.8 63.6 37.9 -

Shareholders Equity Per Share

136 129 115 104 93.3 83.1 73.9 80.1 55.4 53.2 53.9 45.5 40.8 38.2 22.1 -

Interest Debt Per Share

101 86.8 73.8 75 42.9 38.5 35.4 36 71.4 49.8 40.2 34.6 26.2 31 16.8 -

Market Cap

25.8 B 18.6 B 19 B 19.6 B 13.6 B 13.9 B 14.3 B 8.17 B 7.31 B 6.95 B 7.5 B 5.58 B 3.9 B 2.57 B 3.9 B -

Enterprise Value

35.5 B 26.1 B 25.5 B 26.2 B 17.5 B 17.3 B 17.5 B 10.6 B 12.1 B 10.2 B 10.1 B 7.78 B 5.58 B 3.75 B 4.94 B 606 M

P/E Ratio

20.4 10.6 14 17.7 10.6 12.8 17.3 16.5 48.2 185 11.5 17.7 8.58 15.3 48.9 -

P/OCF Ratio

-46.3 10.6 21.6 46.8 11.1 27.7 68.6 7.9 -37 5.68 21 - - - - -

P/FCF Ratio

-13.1 47.8 143 163 -504 -307 -31.5 15.6 -15.4 24.6 -34.9 -30.6 -431 -11 -45.7 -

P/B Ratio

1.93 1.47 1.69 1.93 1.49 1.71 1.98 1.25 1.79 1.78 1.89 1.67 1.3 1.39 2.41 -

EV/Sales

2.84 2.2 2.58 3.01 2.12 2.25 2.64 1.53 1.55 1.31 2.02 2.22 1.74 1.9 4.03 -

EV/EBITDA

13.2 8.57 8.39 12 7.88 8.97 10.8 8.24 11.6 17.2 8.73 11.5 6.8 7.41 18 -

EV/OCF

-63.8 14.9 29 62.6 14.2 34.3 83.7 10.3 -61.4 8.31 28.3 - - - - -

Earnings Yield

0.049 0.094 0.071 0.056 0.094 0.078 0.058 0.061 0.021 0.005 0.087 0.057 0.117 0.065 0.02 -

Free Cash Flow Yield

-0.077 0.021 0.007 0.006 -0.002 -0.003 -0.032 0.064 -0.065 0.041 -0.029 -0.033 -0.002 -0.091 -0.022 -

Debt To Equity

0.739 0.623 0.598 0.676 0.435 0.43 0.444 0.391 1.2 0.859 0.694 0.693 0.578 0.685 0.665 0.391

Debt To Assets

0.356 0.319 0.31 0.335 0.252 0.246 0.248 0.221 0.429 0.35 0.325 0.333 0.286 0.236 0.222 0.151

Net Debt To EBITDA

3.6 2.47 2.15 3.02 1.73 1.74 1.95 1.9 4.61 5.43 2.25 3.25 2.05 2.33 3.78 -

Current Ratio

3.38 2.33 2.4 1.99 1.76 2.95 2.53 2.39 1.24 1.55 1.57 2.19 1.39 1.4 1.15 1.64

Interest Coverage

- 4.33 4.29 3.59 7.69 5.83 5.43 2.69 3.58 4.72 5.87 2.83 4.29 2.15 1.81 -

Income Quality

-0.441 1 0.649 0.379 0.956 0.461 0.252 2.09 -1.56 29.5 0.547 - - - - -

Sales General And Administrative To Revenue

0.116 0.024 0.024 0.024 0.026 0.029 0.028 0.025 0.031 0.027 0.033 0.042 0.148 0.135 0.161 -

Intangibles To Total Assets

0.001 0.003 0.002 0.001 0.002 0.001 0.003 0.002 0.003 0.0 0.001 0.001 0.001 0.0 0.006 0.0

Capex To Operating Cash Flow

-2.55 0.777 0.849 0.712 1.02 1.09 3.18 0.493 -1.41 0.769 1.6 - - - - -

Capex To Revenue

0.113 0.115 0.076 0.034 0.153 0.072 0.1 0.073 0.035 0.122 0.115 0.052 0.003 0.119 0.07 -

Capex To Depreciation

1.78 2.15 0.998 0.849 3.54 8.18 2.98 2.29 1.58 3.73 4.46 - - - - -

Stock Based Compensation To Revenue

- - - - - - - - - - - - - - - -

Graham Number

199 228 189 162 166 144 118 104 50.8 24.7 104 66.3 75.4 54.6 23.2 -

Return On Invested Capital, ROIC

0.052 0.099 0.091 0.078 0.097 0.096 0.097 0.085 0.04 0.033 0.125 0.069 0.113 0.072 0.045 -

Return On Tangible Assets, ROTA

0.046 0.071 0.063 0.054 0.082 0.077 0.064 0.043 0.013 0.004 0.077 0.045 0.075 0.031 0.017 -

Graham Net Net

-97.5 -76.2 -63 -65 -34.9 -20.5 -23.1 -22.3 -50.2 -65.5 -49.1 -39.2 -32.6 -35.2 -22.2 -

Working Capital

8.11 B 6.19 B 5.48 B 4.09 B 3.14 B 4.71 B 3.82 B 3.33 B 1.12 B 1.72 B 1.55 B 1.74 B 724 M 569 M 211 M 405 M

Tangible Asset Value

13.3 B 12.6 B 11.2 B 10.2 B 9.17 B 8.2 B 7.31 B 6.62 B 4.18 B 3.91 B 3.95 B 3.34 B 3 B 3.09 B 2.78 B 2.72 B

Net Current Asset Value, NCAV

-2.81 B -1.16 B -989 M -2.08 B 682 M 1.12 B 679 M 759 M -1.46 B -799 M -247 M -415 M -489 M -290 M -417 M -318 M

Invested Capital

22.7 B 17.2 B 15.1 B 14 B 10.4 B 10.7 B 9.68 B 8.59 B 6.15 B 6.08 B 5.62 B 5.39 B 4.13 B 3.88 B 3.4 B 3.43 B

Average Receivables

2.21 B 2.65 B 2.92 B 2.93 B 3.33 B 3.5 B 3.4 B 3.14 B 1.52 B - 0.5 5.4 M 5.4 M 347 K 347 K -

Average Payables

871 M 831 M 662 M 528 M 650 M 654 M 835 M 988 M 1.07 B 964 M 610 M 464 M 357 M 259 M 203 M -

Average Inventory

5.54 B 4.58 B 3.94 B 3.65 B 3.2 B 2.76 B 2.25 B 2.17 B 1.85 B 1.45 B 1.35 B 1.21 B 1.08 B 877 M 666 M -

Days Sales Outstanding

68 64.3 119 110 143 163 196 170 142 - - 0.0 1.23 0.0 0.206 -

Days Payables Outstanding

49.3 44.7 54 31 50.3 62.2 70.1 123 101 118 115 111 106 114 142 -

Days Of Inventory On Hand

296 304 237 283 270 282 272 245 245 139 234 275 291 393 471 -

Receivables Turnover

5.36 5.68 3.07 3.31 2.55 2.23 1.86 2.14 2.57 - - 3.51 B 298 1.97 B 1.77 K -

Payables Turnover

7.41 8.16 6.76 11.8 7.26 5.87 5.21 2.96 3.62 3.09 3.18 3.28 3.44 3.2 2.57 -

Inventory Turnover

1.23 1.2 1.54 1.29 1.35 1.3 1.34 1.49 1.49 2.62 1.56 1.32 1.25 0.928 0.775 -

Return On Equity, ROE

0.095 0.139 0.121 0.109 0.141 0.134 0.114 0.076 0.037 0.01 0.165 0.094 0.152 0.091 0.049 -

Capex Per Share

14.5 13.9 7.61 3.04 12.8 5.6 6.77 6.23 3.77 12.8 7.79 2.48 0.123 4.84 1.16 -

Alle Zahlen in RUB-Währung

Schlüsselkennzahlen Vierteljährlich Абрау-Дюрсо

2023-Q4 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q1

Operating Cash Flow Per Share

8.37 8.37 -10.5 -10.5 7.74 7.74 -7.8 -3.96 3.81 3.81 0.686 0.686 10.6 5.28 -6.28 -3.14 6.43 3.21 6.11 3.21 -5.67 -2.82 10.8 5.4 -1.94 -1.94 3.03 3.03 1.79 1.79 4.17 4.17 -6.87 -6.39 4.29 4.49 -2.43 -1.56 5.95 6.16 - -0.645 2.92

Free Cash Flow Per Share

5.8 5.8 -15.1 -15.1 4.13 4.13 -14.2 -7.22 0.845 0.845 -0.17 -0.17 9.89 4.94 -8.66 -4.33 -1.92 -0.96 1.64 0.862 -8.81 -4.39 8.35 4.17 -4.46 -4.46 2.19 2.19 -0.332 -0.332 3.61 3.61 -7.66 -7.24 3.7 3.87 -1.56 -1.01 1.56 1.62 -1.95 -2.57 1.09

Cash Per Share

1.44 1.44 6.39 6.39 3.32 3.32 1.11 5.37 1.9 1.9 2.54 2.54 -0.23 2.51 4.7 4.7 -9.41 1.31 -0.424 2.42 -1.08 1.64 -4.34 4.32 -5.29 0.491 1.24 1.24 1.16 1.16 5.14 5.4 1.06 1.05 2.11 2.2 2.12 1.42 3.08 3.21 - 2.12 1.75

Price To Sales Ratio

5.06 6.24 16 10.3 3.95 3.38 4.96 10.1 5.58 5.55 12.5 13.2 3.15 6.11 5.12 10.5 2.28 4.43 6.13 11.4 2.67 5.6 5.87 12.3 6.07 6.54 19.7 14.2 3.88 3.51 7.07 7.25 3.61 3.58 9.09 9.14 2.15 4.07 17.4 15.6 4.56 3.14 12

Dividend Yield

0.012 0.01 0.0 0.0 0.008 0.01 - - 0.007 0.007 0.0 0.0 0.005 0.003 - - 0.02 0.011 0.005 0.005 0.02 0.01 - 0.005 0.004 0.004 0.002 0.002 0.002 0.002 0.002 0.001 0.001 - - - 0.005 0.003 - - - - -

Payout Ratio

0.523 0.523 0.0 0.0 0.171 0.171 - - 0.182 0.182 -0.02 -0.02 0.057 0.057 - - 0.205 0.205 -0.932 -1.86 0.303 0.303 - 0.848 0.149 0.149 -2.59 -2.59 0.054 0.054 -0.079 -0.079 0.083 - - - 0.158 0.158 - - - - -

Revenue Per Share

52 52 20.9 20.9 48.1 48.1 34.7 17.6 34.7 34.7 16 16 63.5 31.7 25.5 12.8 60.9 30.4 23.1 12.1 53.1 26.4 25 12.5 24.1 24.1 9.52 9.52 25.8 25.8 11.5 11.5 27.6 28.8 10.3 10.8 43.9 28.3 7.83 8.11 17 26.4 6.77

Net Income Per Share

6.05 6.05 0.6 0.6 9.26 9.26 -1.28 -0.65 7.74 7.74 -0.85 -0.85 17.2 8.59 -5.91 -2.95 13.9 6.94 -0.763 -0.4 9.44 4.7 1.69 0.843 4.3 4.3 -0.124 -0.124 3.82 3.82 -1.55 -1.55 1.64 1.57 -0.615 -0.644 3.03 1.95 -1.52 -1.57 2.22 5.29 -0.867

Book Value Per Share

142 142 120 120 124 124 110 112 115 115 105 105 104 104 87.9 87.9 94 94 80 83.9 83.8 83.4 74.4 74.4 74.2 74.2 65.9 65.9 67.8 67.8 72.2 75.9 57.3 56.8 51.9 54.1 53.2 37.8 50.1 52.2 - 53.1 -

Tangible Book Value Per Share

141 141 119 119 124 124 110 111 115 115 104 104 104 104 87.5 87.5 93.6 93.6 79.9 83.8 83.7 83.3 74.1 74.1 73.9 73.9 65.6 65.6 67.5 67.5 71.9 75.5 56.8 56.4 51.8 54.1 53.2 37.8 50 52.1 - 53 -

Shareholders Equity Per Share

142 142 120 120 124 124 110 111 115 115 104 104 104 104 87.4 87.4 93.3 93.3 79.5 83.3 83.1 82.7 73.6 73.6 73.2 73.2 64.8 64.8 66.8 66.8 70.7 74.3 55.4 55.6 51.9 54.1 53.2 37.8 50.1 52.2 - 53.1 46.5

Interest Debt Per Share

97.6 97.6 103 102 77.5 76.9 87.7 88.5 68.5 68.2 71.9 71.5 73.4 69.6 75.6 71.3 42.6 39.6 37.7 38.9 36.3 35.6 29.5 29.5 33.2 32.5 22.9 22.9 26.8 26.1 32.9 34.5 67.8 67.2 42.1 43.9 47 33.5 36.1 37.6 - 37.6 0.705

Market Cap

24.8 B 30.6 B 33.9 B 21.8 B 19.3 B 16.5 B 16.9 B 17.2 B 19 B 18.9 B 19.2 B 20.3 B 19.6 B 19 B 12.8 B 13.1 B 13.6 B 13.2 B 13.9 B 12.8 B 13.9 B 14.6 B 14.4 B 15 B 14.4 B 15.6 B 18.4 B 13.2 B 9.8 B 8.87 B 6.66 B 6.82 B 7.31 B 7.57 B 6.91 B 7.28 B 6.95 B 8.45 B 9.99 B 9.32 B 5.7 B 6.09 B 5.95 B

Enterprise Value

33.9 B 39.7 B 43.7 B 31.5 B 26.8 B 23.9 B 24.9 B 25.3 B 25.5 B 25.4 B 25.8 B 26.9 B 26.2 B 25.6 B 19.7 B 20 B 17.5 B 17 B 17.3 B 16.2 B 17.3 B 17.9 B 16.8 B 17.4 B 17.6 B 18.7 B 20.5 B 15.3 B 12.2 B 11.3 B 8.83 B 9.1 B 12.1 B 12.3 B 9.81 B 10.3 B 10.2 B 10.7 B 12.4 B 11.8 B - 8.65 B 6.08 B

P/E Ratio

10.9 13.4 139 89.4 5.13 4.39 -33.6 -68.7 6.25 6.22 -58.8 -62.2 2.91 5.64 -5.52 -11.3 2.5 4.86 -46.4 -85.9 3.76 7.87 21.8 45.5 8.49 9.16 -378 -271 6.55 5.93 -13.1 -13.4 15.1 16.4 -38.2 -38.4 7.8 14.7 -22.4 -20.1 8.71 3.92 -23.3

P/OCF Ratio

31.5 38.8 -31.8 -20.4 24.6 21 -22 -45.1 50.8 50.5 291 308 18.9 36.7 -20.8 -42.6 21.6 42 23.1 42.9 -25 -52.4 13.6 28.4 -75.1 -81 62.1 44.6 55.8 50.5 19.5 20 -14.5 -16.1 21.9 22.1 -38.9 -73.5 22.9 20.6 - -128 27.8

P/FCF Ratio

45.4 56 -22.1 -14.2 46 39.4 -12.1 -24.7 229 228 -1.18 K -1.25 K 20.2 39.3 -15.1 -31 -72.4 -141 86.1 160 -16.1 -33.7 17.6 36.8 -32.7 -35.3 86 61.8 -302 -273 22.6 23.2 -13 -14.2 25.4 25.6 -60.4 -114 87.2 78.5 -39.8 -32.2 74.4

P/B Ratio

1.86 2.29 2.79 1.79 1.53 1.31 1.57 1.6 1.69 1.68 1.92 2.03 1.93 1.87 1.49 1.53 1.49 1.45 1.78 1.65 1.71 1.79 2 2.08 1.99 2.15 2.9 2.08 1.5 1.36 1.15 1.12 1.79 1.85 1.81 1.83 1.78 3.04 2.71 2.43 - 1.56 1.74

EV/Sales

6.91 8.09 20.6 14.8 5.5 4.91 7.34 14.9 7.51 7.47 16.8 17.5 4.21 8.22 7.89 16 2.93 5.69 7.64 14.3 3.31 6.88 6.85 14.2 7.39 7.87 22 16.4 4.85 4.48 9.38 9.67 5.98 5.84 12.9 12.9 3.15 5.16 21.5 19.8 - 4.46 12.2

EV/EBITDA

- -105 491 354 19.3 17 38.9 71.5 21.2 21 121 126 10.8 21.9 -74.3 -153 8.87 16.5 69.8 326 11.6 24 38.5 78.1 21.8 23.2 213 159 17.9 16.5 165 170 20.1 20.3 261 262 9.72 16 -570 -525 - 14.2 97.7

EV/OCF

43 50.3 -40.9 -29.5 34.2 30.5 -32.6 -66.1 68.2 67.9 393 409 25.3 49.4 -32 -64.8 27.7 53.9 28.8 54.1 -31 -64.4 15.9 32.9 -91.5 -97.4 69 51.5 69.7 64.4 25.9 26.7 -24 -26.3 31.1 31.2 -56.9 -93.4 28.3 26 - -182 28.4

Earnings Yield

0.023 0.019 0.002 0.003 0.049 0.057 -0.007 -0.004 0.04 0.04 -0.004 -0.004 0.086 0.044 -0.045 -0.022 0.1 0.051 -0.005 -0.003 0.067 0.032 0.011 0.005 0.029 0.027 -0.001 -0.001 0.038 0.042 -0.019 -0.019 0.017 0.015 -0.007 -0.007 0.032 0.017 -0.011 -0.012 0.029 0.064 -0.011

Free Cash Flow Yield

0.022 0.018 -0.045 -0.07 0.022 0.025 -0.083 -0.04 0.004 0.004 -0.001 -0.001 0.049 0.025 -0.066 -0.032 -0.014 -0.007 0.012 0.006 -0.062 -0.03 0.057 0.027 -0.031 -0.028 0.012 0.016 -0.003 -0.004 0.044 0.043 -0.077 -0.07 0.039 0.039 -0.017 -0.009 0.011 0.013 -0.025 -0.031 0.013

Debt To Equity

0.689 0.689 0.857 0.851 0.623 0.618 0.798 0.794 0.598 0.595 0.69 0.687 0.676 0.671 0.827 0.815 0.435 0.424 0.468 0.46 0.43 0.43 0.391 0.391 0.444 0.444 0.343 0.343 0.391 0.391 0.449 0.449 1.2 1.19 0.789 0.789 0.859 0.859 0.701 0.701 - 0.694 -

Debt To Assets

0.332 0.332 0.384 0.381 0.319 0.317 0.381 0.379 0.31 0.309 0.353 0.351 0.335 0.332 0.394 0.388 0.252 0.246 0.269 0.264 0.246 0.246 0.237 0.237 0.248 0.248 0.213 0.213 0.221 0.221 0.249 0.249 0.429 0.429 0.348 0.348 0.35 0.35 0.346 0.346 - 0.325 -

Net Debt To EBITDA

- -24.1 110 109 5.43 5.31 12.6 22.7 5.42 5.39 31.1 31 2.72 5.61 -26.1 -52.4 1.95 3.64 13.8 67.6 2.25 4.49 5.49 10.7 3.91 3.91 21.4 21.4 3.57 3.57 40.6 42.6 7.98 7.86 77.1 76.9 3.08 3.4 -109 -110 - 4.19 2.07

Current Ratio

3.38 3.38 1.59 1.59 2.33 2.33 1.89 1.89 2.4 2.4 2.43 2.43 1.99 1.99 2.17 2.17 1.76 1.76 3.12 3.12 2.95 2.95 4.41 4.41 2.53 2.53 3.43 3.43 2.39 2.39 2.36 2.36 1.24 1.24 1.96 1.96 1.55 1.55 1.95 1.95 - 1.57 -

Interest Coverage

- - - - - - - - - - - - 5.8 - -0.738 - 9.82 - 0.234 -0.305 29.1 - 1.96 2.42 11.2 - 0.592 0.592 9.57 - 0.126 0.126 5.93 6.25 -0.05 -0.053 10.8 8.33 -0.67 -0.694 5.22 11.1 0.68

Income Quality

1.38 1.38 -17.5 -17.5 0.836 0.836 6.09 6.09 0.492 0.492 -0.807 -0.807 0.614 0.614 1.06 1.06 0.463 0.463 -8.01 -8.01 -0.601 -0.601 6.41 6.41 -0.452 -0.452 -24.4 -24.4 0.47 0.47 -2.69 -2.69 -4.18 -4.06 -6.97 -6.97 -0.802 -0.802 -3.91 -3.91 - -0.122 -3.36

Sales General And Administrative To Revenue

0.087 0.087 0.164 0.164 0.063 0.063 0.084 0.167 0.058 0.058 0.141 0.141 0.03 0.061 0.081 0.162 0.031 0.062 0.088 0.175 0.033 0.066 0.072 0.143 0.07 0.07 0.161 0.161 0.048 0.048 0.179 0.179 0.044 0.05 0.182 0.182 0.033 0.033 0.22 0.22 0.033 0.041 0.232

Intangibles To Total Assets

0.001 0.001 0.001 0.001 0.003 0.003 0.002 0.002 0.002 0.002 0.002 0.002 0.001 0.001 0.002 0.002 0.002 0.002 0.001 0.001 0.001 0.001 0.003 0.003 0.003 0.003 0.003 0.003 0.002 0.002 0.003 0.003 0.003 0.003 0.001 0.001 0.0 0.0 0.001 0.001 - 0.001 -

Capex To Operating Cash Flow

0.307 0.307 -0.437 -0.437 0.467 0.467 -0.824 -0.824 0.778 0.778 1.25 1.25 0.064 0.064 -0.377 -0.377 1.3 1.3 0.731 0.731 -0.553 -0.553 0.228 0.228 -1.3 -1.3 0.278 0.278 1.18 1.18 0.136 0.136 -0.115 -0.134 0.137 0.137 -0.356 -0.356 0.738 0.738 - -2.99 0.627

Capex To Revenue

0.049 0.049 0.22 0.22 0.075 0.075 0.186 0.186 0.086 0.086 0.053 0.053 0.011 0.011 0.093 0.093 0.137 0.137 0.194 0.194 0.059 0.059 0.098 0.098 0.105 0.105 0.088 0.088 0.082 0.082 0.049 0.049 0.029 0.03 0.057 0.057 0.02 0.02 0.561 0.561 0.115 0.073 0.27

Capex To Depreciation

- - - - - - 1.78 1.55 1.58 1.58 0.416 0.416 0.387 0.503 1.43 1.06 4.59 2.69 2.48 2.41 2.35 1.9 2.02 1.99 4.73 4.73 1.4 1.4 2.5 2.5 1.11 1.11 1.35 1.32 1.03 1.03 0.854 0.854 11.3 11.3 16.2 4.03 4.98

Stock Based Compensation To Revenue

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Graham Number

139 139 40.2 40.2 161 161 56.3 40.4 141 141 44.6 44.6 200 142 108 76.2 171 121 36.9 27.4 133 93.5 52.8 37.4 84.2 84.2 13.5 13.5 75.7 75.7 49.7 51 45.3 44.4 26.8 28 60.2 40.8 41.4 43 - 79.5 30.1

Return On Invested Capital, ROIC

0.026 0.035 -0.0 -0.0 0.045 0.045 0.004 0.021 0.043 0.043 0.004 0.004 0.09 0.051 -0.014 -0.013 0.109 0.052 0.001 -0.002 0.101 0.041 0.009 0.011 0.058 0.051 -0.028 -0.028 0.051 0.051 0.001 0.001 0.034 0.033 -0.091 -0.091 0.093 0.084 -0.008 -0.008 - 0.065 -

Return On Tangible Assets, ROTA

0.021 0.021 0.002 0.002 0.038 0.038 -0.006 -0.003 0.035 0.035 -0.004 -0.004 0.082 0.041 -0.032 -0.016 0.086 0.043 -0.006 -0.003 0.065 0.033 0.014 0.007 0.033 0.033 -0.001 -0.001 0.032 0.032 -0.012 -0.012 0.011 0.01 -0.005 -0.005 0.023 0.021 -0.015 -0.015 - 0.047 -

Graham Net Net

-86.7 -86.7 -86.1 -86.1 -63.1 -63.1 -84.1 -81.1 -59.4 -59.4 -65.1 -65.1 -65 -62.2 -53.5 -61 -34.9 -24.2 -32.9 -31.7 -20.5 -17.6 -27.5 -18.9 -22.9 -17.1 -16 -16 -14.1 -14.1 -17.9 -18.8 -50.2 -49.5 -50.6 -35.7 -65.5 -25.1 -37.8 -30.6 - -24.7 1.75

Working Capital

8.11 B 8.11 B 4.38 B 4.38 B 6.19 B 6.19 B 4.53 B 4.53 B 5.48 B 5.48 B 4.35 B 4.35 B 4.09 B 4.09 B 4.9 B 4.9 B 3.14 B 3.14 B 3.76 B 3.76 B 4.71 B 4.71 B 3.91 B 3.91 B 3.82 B 3.82 B 2.88 B 2.88 B 3.33 B 3.33 B 2.83 B 2.98 B 1.12 B 1.11 B 1.79 B 1.87 B 1.72 B 1.23 B 1.27 B 1.33 B - 1.52 B 129 M

Tangible Asset Value

13.3 B 13.3 B 12.1 B 12.1 B 12.6 B 12.6 B 10.8 B 10.8 B 11.2 B 11.2 B 10 B 10 B 10.2 B 10.2 B 8.57 B 8.57 B 9.17 B 9.17 B 7.83 B 7.83 B 8.2 B 8.2 B 7.26 B 7.26 B 7.31 B 7.31 B 6.43 B 6.43 B 6.62 B 6.62 B 5.87 B 6.16 B 4.18 B 4.14 B 3.81 B 3.97 B 3.91 B 2.78 B 3.68 B 3.83 B - 3.89 B -

Net Current Asset Value, NCAV

-2.81 B -2.81 B -3.21 B -3.21 B -1.16 B -1.16 B -2.13 B -2.13 B -989 M -989 M -2.13 B -2.13 B -2.08 B -2.08 B -301 M -301 M 682 M 682 M -177 M -177 M 1.12 B 1.12 B 445 M 445 M 679 M 679 M 272 M 272 M 759 M 759 M 400 M 420 M -1.46 B -1.45 B -1.16 B -1.21 B -799 M -568 M -1.15 B -1.2 B - -243 M 129 M

Invested Capital

22.7 B 22.7 B 16.3 B 18.2 B 17.2 B 19.1 B 14.7 B 16.5 B 15.1 B 16.9 B 14.2 B 15.8 B 14 B 15.5 B 12 B 13.1 B 10.4 B 11.1 B 10.5 B 11.1 B 10.7 B 11.2 B 9.66 B 10.2 B 9.68 B 9.89 B 8.61 B 8.61 B 8.79 B 8.79 B 8.02 B 8.43 B 6.15 B 6.31 B 6.22 B 6.49 B 6.08 B 4.27 B 5.9 B 6.15 B - 5.28 B 129 M

Average Receivables

4.17 B 3.85 B 3.53 B 3.51 B 3.5 B 2.34 B 1.18 B 2.2 B 3.21 B 2.22 B 1.22 B 1.93 B 2.63 B 2.57 B 2.03 B 2.38 B 3.23 B 2.07 B 904 M 2.17 B 3.43 B 2.18 B 923 M 2.24 B 3.56 B 2.24 B 915 M 2.08 B 3.24 B 2.61 B 2.03 B 2.57 B 3.05 B 1.52 B 836 M 836 M 1.06 B 1.06 B 428 M 428 M - - -

Average Payables

1.33 B 884 M 945 M 1.12 B 982 M 876 M 564 M 725 M 887 M 660 M 434 M 435 M 437 M 594 M 752 M 685 M 619 M 609 M 600 M 641 M 681 M 671 M 662 M 644 M 627 M 862 M 1.1 B 1.07 B 1.04 B 957 M 893 M 923 M 932 M 959 M 1.01 B 1.12 B 1.03 B 656 M 465 M 599 M - - -

Average Inventory

5.8 B 5.85 B 5.9 B 5.59 B 5.27 B 5.13 B 4.99 B 4.44 B 3.89 B 4.07 B 4.24 B 4.11 B 3.99 B 3.79 B 3.59 B 3.46 B 3.32 B 3.51 B 3.71 B 3.4 B 3.08 B 3.18 B 3.28 B 2.86 B 2.44 B 2.63 B 2.82 B 2.45 B 2.07 B 2.19 B 2.37 B 2.35 B 2.26 B 2.07 B 1.94 B 1.7 B 1.22 B 1.27 B 1.56 B 1.54 B - - -

Days Sales Outstanding

76.6 76.6 149 149 64.7 64.7 31.4 62.7 85.1 85.1 71.6 71.6 38.1 76.2 90.5 111 48.7 97.3 36 72 59.3 119 33.9 67.7 135 135 88.3 88.3 115 115 190 199 135 130 - 189 - 91.4 - 129 - 107 -

Days Payables Outstanding

44.3 44.3 24.4 81.2 28.5 43.7 23.8 48.1 42.9 42.9 33.1 33.1 12 24.1 35 69.7 17.9 36.1 36.1 74.7 24.3 48.7 38.7 77.3 54.4 54.4 160 160 83.1 83.1 171 180 110 105 252 252 71.7 79.2 132 133 - 72.1 -

Days Of Inventory On Hand

193 193 329 329 194 194 210 425 188 188 324 324 110 220 167 333 96.2 194 223 462 110 221 192 383 211 211 412 412 165 165 453 476 268 252 485 484 84.6 93.4 444 447 - 147 -

Receivables Turnover

1.18 1.18 0.602 0.602 1.39 1.39 2.87 1.43 1.06 1.06 1.26 1.26 2.36 1.18 0.994 0.813 1.85 0.925 2.5 1.25 1.52 0.759 2.66 1.33 0.668 0.668 1.02 1.02 0.78 0.78 0.474 0.452 0.665 0.693 - 0.476 - 0.984 - 0.695 - 0.84 -

Payables Turnover

2.03 2.03 3.69 1.11 3.15 2.06 3.78 1.87 2.1 2.1 2.72 2.72 7.49 3.73 2.57 1.29 5.02 2.49 2.49 1.2 3.71 1.85 2.32 1.16 1.66 1.66 0.561 0.561 1.08 1.08 0.527 0.501 0.818 0.861 0.357 0.358 1.26 1.14 0.682 0.678 - 1.25 -

Inventory Turnover

0.467 0.467 0.273 0.273 0.464 0.464 0.428 0.212 0.478 0.478 0.278 0.278 0.82 0.408 0.538 0.27 0.935 0.465 0.404 0.195 0.819 0.408 0.468 0.235 0.426 0.426 0.218 0.218 0.545 0.545 0.199 0.189 0.336 0.356 0.185 0.186 1.06 0.964 0.202 0.201 - 0.61 -

Return On Equity, ROE

0.043 0.043 0.005 0.005 0.074 0.074 -0.012 -0.006 0.068 0.068 -0.008 -0.008 0.166 0.083 -0.068 -0.034 0.149 0.074 -0.01 -0.005 0.114 0.057 0.023 0.011 0.059 0.059 -0.002 -0.002 0.057 0.057 -0.022 -0.021 0.03 0.028 -0.012 -0.012 0.057 0.052 -0.03 -0.03 - 0.1 -0.019

Capex Per Share

2.57 2.57 4.6 4.6 3.61 3.61 6.43 3.26 2.97 2.97 0.856 0.856 0.673 0.337 2.37 1.19 8.35 4.17 4.47 2.34 3.14 1.56 2.46 1.23 2.52 2.52 0.842 0.842 2.12 2.12 0.568 0.568 0.787 0.853 0.589 0.617 0.865 0.557 4.39 4.55 1.95 1.93 1.83

Alle Zahlen in RUB-Währung

Finanzberichterstattung ist das wichtigste Instrument, mit dem Unternehmen Interessengruppen über ihre finanzielle Lage, Geschäftsergebnisse und Veränderungen in der Kapitalstruktur informieren. Sie ist gewissermaßen die „Sprache der Wirtschaft“, die von Investoren, Gläubigern, Steuerbehörden und anderen Akteuren des wirtschaftlichen Umfelds verstanden wird.

Hauptarten der Finanzberichte Абрау-Дюрсо ABRD
  1. Gewinn- und Verlustrechnung
    Zeigt Erträge, Aufwendungen sowie den Gewinn oder Verlust für einen bestimmten Zeitraum. Sie ermöglicht die Bewertung der Rentabilität eines Unternehmens.
  2. Bilanz
    Stellt Vermögenswerte, Verbindlichkeiten und Eigenkapital eines Unternehmens zu einem bestimmten Stichtag dar. Sie ist eine Momentaufnahme dessen, was das Unternehmen besitzt und schuldet.
    Vermögenswerte – alles, was dem Unternehmen gehört (Bargeld, Anlagen, Gebäude, Forderungen usw.).
    Verbindlichkeiten – Schulden und andere externe Finanzierungsquellen.
    Eigenkapital – eigenes Kapital der Eigentümer und einbehaltene Gewinne.
  3. Kapitalflussrechnung
    Zeigt, woher das Unternehmen Geld erhält und wie es dieses in drei Bereichen verwendet: operative, Investitions- und Finanzierungstätigkeit.
Internationale Rechnungslegungsstandards
  • IFRS – Internationale Rechnungslegungsstandards, relevant für börsennotierte und multinationale Unternehmen.
  • GAAP – Allgemein anerkannte Rechnungslegungsgrundsätze in den USA.
  • RAS – Russische Rechnungslegungsstandards, die im Inland angewendet werden.

Die Finanzberichterstattung Абрау-Дюрсо spielt eine entscheidende Rolle für Investoren, da sie eine objektive Informationsquelle über den aktuellen Zustand eines Unternehmens darstellt. Anhand der Berichte lässt sich erkennen, ob ein Unternehmen wächst, stagniert oder Marktanteile verliert. Dadurch können Investoren frühzeitig vielversprechende oder risikobehaftete Anlagen identifizieren.

Darüber hinaus bilden Finanzdaten die Grundlage für Prognosen zukünftiger Erträge. Historische Entwicklungen bei Umsatz, Gewinn und Cashflows helfen, potenzielle Dividenden, Kurssteigerungen und das Gesamtrisiko einer Investition einzuschätzen.

Transparente und ehrliche Berichterstattung ist auch ein Zeichen für die Reife und Verantwortlichkeit eines Unternehmens. Eine solche Offenheit stärkt das Vertrauen der Investoren und erleichtert Investitionsentscheidungen – insbesondere beim Vergleich mehrerer Unternehmen.

Schließlich ermöglicht die Finanzberichterstattung eine fundierte vergleichende Analyse. Sie erlaubt es, Unternehmen hinsichtlich Rentabilität, Verschuldung, Marge und anderen wichtigen Kennzahlen gegenüberzustellen – was besonders wichtig bei der Auswahl optimaler Investitionsmöglichkeiten innerhalb einer Branche oder eines Marktsegments ist.

Finanzberichte anderer Aktien in der Getränke alkoholisch

Name Preis % 24h Marktkapitalisierung Land
Белуга Групп Белуга Групп
BELU
- - - russiaRussia
Anheuser-Busch InBev Anheuser-Busch InBev
BUD
$ 65.09 2.1 % $ 117 B belgiumBelgium
Ambev S.A. Ambev S.A.
ABEV
$ 2.59 1.57 % $ 45 B usaUSA
Compañía Cervecerías Unidas S.A. Compañía Cervecerías Unidas S.A.
CCU
$ 13.09 -2.02 % $ 2.4 B chileChile
Diageo plc Diageo plc
DEO
$ 88.94 -0.24 % $ 206 B britainBritain
Fomento Económico Mexicano, S.A.B. de C.V. Fomento Económico Mexicano, S.A.B. de C.V.
FMX
$ 103.15 -0.99 % $ 32.2 B mexicoMexico
Eastside Distilling Eastside Distilling
EAST
- -0.71 % $ 949 K usaUSA
Willamette Valley Vineyards Willamette Valley Vineyards
WVVI
$ 2.92 -0.83 % $ 14.5 M usaUSA
The Boston Beer Company The Boston Beer Company
SAM
$ 199.21 -1.39 % $ 2.35 B usaUSA
Constellation Brands Constellation Brands
STZ
$ 142.78 -3.13 % $ 24.9 B usaUSA
Molson Coors Beverage Company Molson Coors Beverage Company
TAP
$ 47.64 0.06 % $ 9.95 B canadaCanada