End-of-day quote
Buenos Aires S.E.
23:00:00 14/05/2024 BST
5-day change
1st Jan Change
1,041
ARS
+2.16%
+10.16%
+39.73%
Fiscal Period: May
2018
2019
2020
2021
2022
2023
Capitalization
1
5,500
5,101
9,498
19,347
32,539
133,673
Enterprise Value (EV)
1
9,902
12,776
21,569
28,999
44,323
146,242
P/E ratio
19.8
x
-3.36
x
12.9
x
3.72
x
5.77
x
9.84
x
Yield
-
-
-
-
0.93%
3.56%
Capitalization / Revenue
0.51
x
0.24
x
0.31
x
0.43
x
0.41
x
0.75
x
EV / Revenue
0.92
x
0.6
x
0.7
x
0.64
x
0.56
x
0.82
x
EV / EBITDA
14.7
x
5.64
x
5.49
x
6.2
x
4.56
x
5.98
x
EV / FCF
-10.5
x
15.9
x
-948
x
6.99
x
43.7
x
11
x
FCF Yield
-9.54%
6.28%
-0.11%
14.3%
2.29%
9.08%
Price to Book
3.72
x
0.93
x
1.1
x
1.07
x
0.95
x
1.62
x
Nbr of stocks (in thousands)
440,000
439,714
439,714
439,714
439,714
439,714
Reference price
2
12.50
11.60
21.60
44.00
74.00
304.0
Announcement Date
09/08/18
09/08/19
28/08/20
09/08/21
09/08/22
09/08/23
Fiscal Period: May
2018
2019
2020
2021
2022
2023
Net sales
1
10,806
21,232
30,751
45,172
78,743
177,482
EBITDA
1
674.2
2,266
3,931
4,681
9,721
24,475
EBIT
1
505
1,525
2,853
3,106
6,819
17,854
Operating Margin
4.67%
7.18%
9.28%
6.88%
8.66%
10.06%
Earnings before Tax (EBT)
1
-1,619
-1,935
1,257
6,170
9,816
20,001
Net income
1
277.1
-1,518
735.9
5,203
5,638
13,582
Net margin
2.56%
-7.15%
2.39%
11.52%
7.16%
7.65%
EPS
2
0.6299
-3.457
1.674
11.83
12.82
30.89
Free Cash Flow
1
-944.9
802.4
-22.76
4,150
1,015
13,279
FCF margin
-8.74%
3.78%
-0.07%
9.19%
1.29%
7.48%
FCF Conversion (EBITDA)
-
35.41%
-
88.65%
10.44%
54.26%
FCF Conversion (Net income)
-
-
-
79.76%
18.01%
97.78%
Dividend per Share
-
-
-
-
0.6878
10.83
Announcement Date
09/08/18
09/08/19
28/08/20
09/08/21
09/08/22
09/08/23
Fiscal Period: May
2018
2019
2020
2021
2022
2023
Net Debt
1
4,402
7,675
12,071
9,652
11,785
12,569
Net Cash position
1
-
-
-
-
-
-
Leverage (Debt/EBITDA)
6.529
x
3.386
x
3.07
x
2.062
x
1.212
x
0.5135
x
Free Cash Flow
1
-945
802
-22.8
4,150
1,015
13,279
ROE (net income / shareholders' equity)
-76.7%
-27%
8.92%
28.3%
17.8%
17.4%
ROA (Net income/ Total Assets)
3.6%
4.99%
6.77%
4.9%
6.73%
8.23%
Assets
1
7,694
-30,404
10,877
106,278
83,749
165,058
Book Value Per Share
2
3.360
12.50
19.60
41.00
78.00
188.0
Cash Flow per Share
2
2.750
0.1900
0.4000
1.060
1.450
1.640
Capex
1
481
754
1,421
2,570
2,795
6,791
Capex / Sales
4.45%
3.55%
4.62%
5.69%
3.55%
3.83%
Announcement Date
09/08/18
09/08/19
28/08/20
09/08/21
09/08/22
09/08/23
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