HKEX: 1913 - Prada S.p.A.

Altı ay boyunca karlılık: +11.25%
Sektör: Consumer Cyclical

Raporlama Prada S.p.A.

Raporlar

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Финансовый отчет bağlantı bağlantı bağlantı bağlantı bağlantı bağlantı bağlantı bağlantı bağlantı bağlantı


Büyük harf kullanımı

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM 5 yıllık ortalama CAGR 5
Капитализация, млрд €
75.43 90.51 63.46 77.41 128.3 111.88 131.44 143.29
Выручка, млрд €
3.55 3.18 2.74 3.14 3.23 2.42 3.37 4.2 4.73 4.73
Чистая прибыль, млрд €
0.3309 0.2783 0.2177 0.2054 0.2558 -0.0541 0.2943 0.4652 0.671 0.671
EV, млрд €
75.27 90.55 63.76 77.72 127.87 14.43 14.94 156.79
EBIT, млрд €
0.7016 0.5029 0.4312 0.3448 0.3238 0.3068 0.0201 0.5332 0.7581 1.05
EBITDA, млрд €
0.9502 0.7933 0.6432 0.5437 0.9854 0.6677 1.09 1.42 1.73 1.42
Баланс стоимость, млрд €
3.08 3.08 2.84 2.88 2.97 2.83 3.11 3.48 3.85 3.85
FCF, млрд €
-0.0254 0.4042 0.4465 0.083 0.4989 0.4829 0.9239 0.8822 0.3956 0.3956
Операционный денежный поток, млрд €
0.3685 0.6319 0.4465 0.3651 0.8099 0.5924 1.14 1.12 1.16 1.16
Операционная прибыль, млрд €
0.5029 0.4312 0.3159 0.3238 0.3068 0.0201 0.4895 0.776 1.06 1.06
Операционные расходы, млрд €
2.06 1.86 2.65 1.94 2.01 2.4 2.88 2.54 2.74 3.66
CAPEX, млрд €
0.3939 0.2276 0.2127 0.2821 0.311 0.1096 0.2196 0.2415 0.7597 0.7597


Bilanço

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM 5 yıllık ortalama CAGR 5
Наличность, млрд €
0.6806 0.7222 0.8926 0.5998 0.4211 0.4424 0.9818 1.09 0.6895 0.6895
Short Term Investments €
0.0117 0.007 0.0084 0.013 0.0107 0.1206 0.1893 0.7814 0.122 0.7814
Long term investments €
0.0212 0.0305 0.0174 0.0118 0.0084 0.0995 0.0814
Total Receivables €
0.2542 0.434 0.3827 0.3933 0.4302 0.4214 0.3295 0.3319 0.6898 0.4052
Total Current Assets €
1.89 1.81 1.96 1.76 1.7 1.65 2.17 2.42 2.16 2.16
Чистые активы, млрд €
1.52 1.54 1.52 1.58 4.01 3.56 3.52 3.59 2.42 3.59
Активы, млрд €
4.76 4.66 4.74 4.68 7.04 6.53 6.96 7.38 7.62 7.62
Short Term Debt €
0.0117 0.007 0.0875 0.1523 0.1354 0.3006 0.0612 0.3957 0.5655 0.1542
Long Term Debt €
0.5205 0.5476 0.639 0.4874 0.5841 0.4512 0.4928 2.11 0.3384 0.3384
Задолженность, млрд €
1.66 1.55 1.89 1.78 4.05 3.68 3.85 3.88 3.74 3.74
Чистый долг, млрд €
-0.3465 -0.4475 -0.1484 -0.1698 0.3091 2.82 0.3094 1.81 1.42 1.91
Долг, млрд €
0.5322 0.5547 0.7265 0.6397 0.7196 0.7518 0.554 2.51 2.6 2.68
Interest income €
0.023 0.0127 0.0046 0.0173 0.0702 0.0719 0.0678 0.0597 0.0261
Расходы на обслуживание долга €
0.0134 0.0592 0.0529 0.046 0.0471 0.0781 0.0781
Чист. проц. доходы, млрд €
-0.0127 -0.0081 -0.0569 -0.0722 -0.0452 -0.0458 -0.0635 0.2251
Goodwill €
0.5132 0.5132 0.5186 0.5183 0.5183 0.5187 0.5135 0.5135 0.5137 0.5155
Амортизация, млрд €
0.1989 0.2486 0.2904 0.2121 0.2199 0.6786 0.6476 0.6242 0.6624 0.6764
Себестоимость, млрд €
0.9802 0.895 0.7104 0.8796 0.906 0.6794 0.8183 0.8886 0.9246 0.9246
Товарно материальные запасы €
0.6927 0.5269 0.5699 0.6318 0.7126 0.6662 0.6554 0.7605 0.783 0.783


Terfi

2011 2014 2016 2017 2018 2019 2020 2021 2022 2023 2024 LTM 5 yıllık ortalama CAGR 5
EPS 1.04 3.53 0.39 0.04 0.8697 -0.1997 1.02 0.1818 0.2622 0.2622
Цена акции ао 26.3 28.3 25.8 32.2 51.2 49.9 44.1 44.65 62.8 62.8
Число акций ао, млн 2549.48 2641.7 2558.82 2558.82 2558.82 2558.82 2558.82 2558.82
FCF/акцию 0.1751 0.0314 0.195 0.1887 0.3611 0.3448 0.1546 0.1546


Yeterlik

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 LTM Sektör ortalaması 5 yıllık ortalama CAGR 5
ROE, % 10.74 9.04 7.65 7.14 8.62 -1.91 9.45 14.11 18.29 18.29 3.92
ROA, % 6.96 5.98 4.59 4.39 3.63 -0.8293 4.23 6.49 8.95 8.95 5.81
ROIC, % 29.49 22.44 16.95 15.4 14.7 11.3 11.1 0.9883 10.46 12.47
ROS, % 8.74 7.94 6.54 7.93 -2.23 8.74 11.07 14.2 14.2 14.2 6.61
ROCE, % 23.24 16.24 13.89 12.12 11.18 10.27 0.7035 17.12 12.88 17.03 12.65
Рентаб EBITDA, % 26.75 22.36 20.2 17.3 30.55 27.56 32.44 33.82 36.52 33.82 8.90
Чистая рентаб, % 9.33 8.74 7.94 6.54 7.93 -2.23 8.74 11.07 14.2 14.2 6.61
Operation Margin, % 13.54 11.52 10.31 9.51 0.828 14.54 18.47 22.46 22.46 22.46 7.97
Доходность FCF, % 0.592 0.0917 0.7862 0.6238 0.7201 0.7885 0.301


Oranlar

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 LTM Sektör ortalaması 5 yıllık ortalama CAGR 5
P/E
346.46 440.55 248.1 -1429.76 436.01 27.98 19.42 19.42 17.00
P/BV
26.52 31.45 21.39 27.33 41.2 3.72 3.36 3.36 -213.30
P/S
27.52 28.8 19.67 31.95 38.12 3.1 2.76 2.76 1.88
P/FCF
168.93 1090.82 127.19 160.31 138.87 126.82 332.24 362.2 362.2 293.81
E/P
0.0029 0.0023 0.004 -0.000699 0.0023 0.0042 0.0051 0.0047 0.0047 0.05
EV/EBITDA
166.53 64.7 116.39 117.11 10.16 8.66 97.21 8.30
EV/Ebit
-79.34 -45.84 244.74 19.04 14.24 0 0
EV/S
27.46 28.82 19.77 32.08 37.99 3.44 3.16 33.17 33.17 4.05
EV/FCF
168.56 1091.3 127.79 160.95 138.4 16.36 37.77 396.33 396.33 235.67
Debt/EBITDA
0.6708 0.8623 1.18 0.7303 1.13 0.5074 1.76 1.51 1.89 1.89 1.78
Netdebt/Ebitda
-0.1871 -0.264 0.5685 2.86 0.4634 2.63 0.9963 1.11 0 0 0.88
Debt/Ratio
0.1191 0.1533 0.1367 0.1022 0.1152 0.0796 0.3398 0.3419 0.3519 0.3519 0.23
Debt/Equity
0.1801 0.2554 0.2223 0.2425 0.2655 0.1779 0.7199 0.6756 0.7465 0.7465 1.14
Debt/Net Income
1.99 3.34 3.11 2.81 -13.89 1.88 5.39 3.88 3.99 3.99 3.23
Бета
2.69 0.4807 0.4807 1.98
Индекс Альтмана
27.39 12.64 21.83 26.14 23.75 23.75 6.26


Temettüler

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 LTM Sektör ortalaması 5 yıllık ortalama CAGR 5
Див.выплата, млрд
0.2815 0.2815 0.3071 0.1919 0.1535 0.0896 0.0896 0.2815 0.2815 1.88
Дивиденд
0.923 0.9463 1.17 0.7037 0.527 0.3315 0.0764 0.1259 0.1495 0.1495
Див доход, ао, %
3.78 3.96 2.05 2.12 1.79 0.6611 0.6765 1.01 3.25 3.25 3.79
Дивиденды / прибыль, %
85.07 101.13 141.03 93.41 60.02 -165.42 30.44 38.5 41.95 41.95 34.40


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Dinlenmek

2019 2020 2021 2022 2023 CAGR 5
ebit_margin
-4.63 -12.7 1.88 18.05 22.21
Персонал, чел
13768