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Европейская Электротехника EELT

Европейская Электротехника Finanzdaten 2017-2025 | EELT

Schlüsselkennzahlen Европейская Электротехника

2023 2022 2021 2020 2019 2018 2017

Operating Cash Flow Per Share

1.39 -0.117 1.79 0.64 -0.218 0.236 0.186

Free Cash Flow Per Share

1.3 -0.145 1.74 0.216 -0.379 0.22 0.179

Cash Per Share

1.12 0.65 1.24 0.175 0.045 0.405 0.344

Price To Sales Ratio

1.39 0.531 0.947 1.28 1.82 1.86 2.99

Dividend Yield

0.095 0.048 0.068 0.042 0.011 0.017 0.003

Payout Ratio

0.984 0.193 0.725 0.51 0.226 0.344 0.161

Revenue Per Share

9.28 11.7 7.48 5.79 5.33 5.39 4.25

Net Income Per Share

1.24 1.55 0.666 0.602 0.49 0.485 0.221

Book Value Per Share

3.99 3.35 2.12 1.92 1.45 1.14 0.888

Tangible Book Value Per Share

3.95 3.29 2.05 1.86 1.45 1.14 0.888

Shareholders Equity Per Share

3.98 3.34 2.11 1.9 1.43 1.12 0.888

Interest Debt Per Share

0.62 0.175 0.272 0.457 0.421 0.19 0.189

Market Cap

6.96 B 3.78 B 4.32 B 4.51 B 5.9 B 6.12 B 7.77 B

Enterprise Value

6.65 B 3.49 B 3.69 B 4.65 B 6.11 B 5.97 B 7.65 B

P/E Ratio

10.4 4 10.6 12.3 19.8 20.7 57.7

P/OCF Ratio

9.29 -53.2 3.95 11.6 -44.3 42.5 68.6

P/FCF Ratio

9.96 -43 4.07 34.3 -25.5 45.6 71.1

P/B Ratio

3.24 1.86 3.36 3.89 6.76 8.97 14.4

EV/Sales

1.33 0.49 0.81 1.32 1.88 1.82 2.95

EV/EBITDA

6.54 2.8 6.2 8.93 14.1 15.2 36.3

EV/OCF

8.88 -49.1 3.38 11.9 -45.9 41.4 67.5

Earnings Yield

0.096 0.25 0.094 0.081 0.051 0.048 0.017

Free Cash Flow Yield

0.1 -0.023 0.246 0.029 -0.039 0.022 0.014

Debt To Equity

0.136 0.051 0.101 0.21 0.265 0.137 0.165

Debt To Assets

0.053 0.026 0.033 0.104 0.126 0.073 0.077

Net Debt To EBITDA

-0.304 -0.234 -1.05 0.264 0.473 -0.39 -0.57

Current Ratio

1.49 1.83 1.34 1.82 1.85 2.56 2.18

Interest Coverage

17.9 411 15.6 12.3 14.3 17 7.18

Income Quality

1.12 -0.075 2.69 1.06 -0.446 0.488 0.841

Sales General And Administrative To Revenue

- 0.027 0.035 0.031 0.064 - -

Intangibles To Total Assets

0.004 0.009 0.012 0.015 0.001 - -

Capex To Operating Cash Flow

0.067 -0.235 0.03 0.663 -0.737 0.068 0.035

Capex To Revenue

0.01 0.002 0.007 0.073 0.03 0.003 0.002

Capex To Depreciation

0.486 0.298 0.885 11.4 4.68 0.825 0.262

Stock Based Compensation To Revenue

- - - - - - -

Graham Number

10.6 10.8 5.62 5.08 3.97 3.49 2.1

Return On Invested Capital, ROIC

0.228 0.462 0.308 0.225 0.238 0.368 0.218

Return On Tangible Assets, ROTA

0.123 0.244 0.104 0.159 0.163 0.229 0.117

Graham Net Net

-1.78 0.275 -0.457 -0.205 0.028 0.347 0.203

Working Capital

1.44 B 1.42 B 876 M 809 M 686 M 715 M 566 M

Tangible Asset Value

2.13 B 2 B 1.25 B 1.14 B 883 M 695 M 542 M

Net Current Asset Value, NCAV

1.06 B 1.26 B 774 M 623 M 545 M 577 M 431 M

Invested Capital

2.43 B 2.17 B 1.39 B 1.33 B 969 M 825 M 674 M

Average Receivables

1.38 B 1.63 B 1.06 B 819 M 808 M 602 M -

Average Payables

607 M 875 M 826 M 575 M 400 M 302 M -

Average Inventory

1.35 B 841 M 983 M 646 M 288 M 185 M -

Days Sales Outstanding

74.7 88.7 122 61.1 118 63.1 89.5

Days Payables Outstanding

49.8 49.2 106 84.4 81.5 40.2 55.8

Days Of Inventory On Hand

203 47.6 101 133 47.6 39.5 17.1

Receivables Turnover

4.88 4.11 2.99 5.98 3.1 5.78 4.08

Payables Turnover

7.33 7.42 3.44 4.33 4.48 9.08 6.54

Inventory Turnover

1.8 7.67 3.61 2.74 7.67 9.25 21.3

Return On Equity, ROE

0.312 0.465 0.316 0.316 0.342 0.433 0.249

Capex Per Share

0.094 0.028 0.054 0.425 0.161 0.016 0.006

Alle Zahlen in RUB-Währung

Schlüsselkennzahlen Vierteljährlich Европейская Электротехника

2023-Q4 2023-Q3 2023-Q2 2022-Q4 2022-Q3 2021-Q4 2021-Q3 2018-Q4 2018-Q3

Operating Cash Flow Per Share

1.01 - - -0.223 - 1.56 - 0.19 -

Free Cash Flow Per Share

0.982 - - -0.246 - 1.58 - 0.174 -

Cash Per Share

0.985 0.621 - 0.65 0.915 1.24 0.273 0.405 0.291

Price To Sales Ratio

5.61 6.02 - 1.56 2.08 3.22 2.99 8.94 5.99

Dividend Yield

0.031 - - 0.002 - 0.007 - 0.0 -

Payout Ratio

2.1 - - 0.017 - 0.265 - 0.042 -

Revenue Per Share

2.3 2.11 - 3.99 2.62 2.2 2.45 1.12 1.75

Net Income Per Share

0.193 0.252 - 0.678 0.347 0.192 0.284 0.117 0.133

Book Value Per Share

3.52 3.62 - 3.35 2.69 2.12 1.94 1.14 1.04

Tangible Book Value Per Share

3.48 3.62 - 3.29 2.69 2.12 1.87 1.14 1.04

Shareholders Equity Per Share

3.52 3.61 - 3.34 2.67 2.11 1.92 1.12 1.03

Interest Debt Per Share

0.48 0.505 - 0.186 0.098 0.233 0.93 0.158 0.223

Market Cap

7.88 B 7.72 B - 3.78 B 3.32 B 4.32 B 4.46 B 6.12 B 6.4 B

Enterprise Value

7.57 B 7.64 B -10.2 M 3.49 B 2.81 B 3.69 B 4.85 B 5.97 B 6.36 B

P/E Ratio

16.7 12.6 - 2.29 3.92 9.2 6.45 21.5 19.8

P/OCF Ratio

12.8 - - -27.8 - 4.54 - 52.9 -

P/FCF Ratio

13.2 - - -25.2 - 4.48 - 57.7 -

P/B Ratio

3.67 3.51 - 1.86 2.04 3.36 3.81 8.97 10.2

EV/Sales

5.39 5.96 - 1.44 1.76 2.75 3.25 8.71 5.94

EV/EBITDA

35.5 35.9 - 6.5 8.74 22.5 20.5 65.8 48.9

EV/OCF

12.3 - - -25.7 - 3.89 - 51.5 -

Earnings Yield

0.015 0.02 - 0.109 0.064 0.027 0.039 0.012 0.013

Free Cash Flow Yield

0.076 - - -0.04 - 0.223 - 0.017 -

Debt To Equity

0.136 0.135 - 0.051 0.03 0.101 0.471 0.137 0.203

Debt To Assets

0.053 0.064 - 0.026 0.014 0.033 0.161 0.073 0.087

Net Debt To EBITDA

-1.45 -0.382 - -0.543 -1.58 -3.79 1.63 -1.69 -0.383

Current Ratio

1.49 1.74 0.429 1.83 1.59 1.34 1.34 2.56 1.97

Interest Coverage

129 16.5 - 52.7 28.2 14.2 14.3 37.2 14.1

Income Quality

5.24 - - -0.33 - 8.11 - 1.62 -

Sales General And Administrative To Revenue

- - - - - - - - -

Intangibles To Total Assets

0.004 - - 0.009 - - 0.011 - -

Capex To Operating Cash Flow

0.029 - - -0.103 - 0.014 - 0.083 -

Capex To Revenue

0.013 - - 0.006 - 0.01 - 0.014 -

Capex To Depreciation

0.69 - - 0.653 - 1.12 - 4.57 -

Stock Based Compensation To Revenue

- - - - - - - - -

Graham Number

3.91 4.53 - 7.14 4.57 3.02 3.5 1.72 1.76

Return On Invested Capital, ROIC

0.05 0.051 - 0.199 0.144 0.101 0.103 0.094 0.106

Return On Tangible Assets, ROTA

0.022 0.033 - 0.106 0.061 0.03 0.051 0.055 0.055

Graham Net Net

-1.57 -0.874 - 0.275 -0.232 -0.457 -0.846 0.347 0.16

Working Capital

1.44 B 1.48 B -496 M 1.42 B 992 M 876 M 722 M 715 M 653 M

Tangible Asset Value

2.13 B 2.2 B 1.52 B 2 B 1.64 B 1.29 B 1.14 B 695 M 632 M

Net Current Asset Value, NCAV

1.06 B 1.07 B -655 M 1.26 B 881 M 774 M 613 M 577 M 492 M

Invested Capital

2.43 B 2.45 B -370 M 2.17 B 1.7 B 1.34 B 1.23 B 825 M 791 M

Average Receivables

1.12 B 607 M - 1.28 B - 1.48 B - 712 M -

Average Payables

537 M 718 M - 639 M - 1.07 B - 381 M -

Average Inventory

1.59 B 592 M - 827 M - 981 M - 248 M -

Days Sales Outstanding

65.6 85.2 - 64.2 47.3 102 86.8 74.7 72

Days Payables Outstanding

45.3 54.3 - 37.3 41.3 96 85 52.1 51.7

Days Of Inventory On Hand

185 110 - 36.1 71 91.7 74.5 51.2 23.9

Receivables Turnover

1.37 1.06 - 1.4 1.9 0.882 1.04 1.21 1.25

Payables Turnover

1.99 1.66 - 2.41 2.18 0.938 1.06 1.73 1.74

Inventory Turnover

0.488 0.818 - 2.49 1.27 0.982 1.21 1.76 3.77

Return On Equity, ROE

0.055 0.07 - 0.203 0.13 0.091 0.148 0.104 0.128

Capex Per Share

0.03 - - 0.023 - 0.023 - 0.016 -

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