Prysmian
Prysmian
0,33 %
21,52 EUR
0,07
Noter.
21,52
Høy
21,72
Endring
0,33 %
Lav
21,41
Oppdatert
21.09.2018
Åpen
21,72
Factsheet for Prysmian
Company Profile
Description
Prysmian SpA is an Italian manufacturer of electric power transmission and telecommunications cables and systems. Its business is organized in three segments--Energy Projects, which focuses on the execution of underground and submarine cable projects; Energy Products, which provides power distribution, and industrial and network components; and Telecom, which makes cable systems and connectivity products. More than half of the firm's revenue is generated in the Europe, Middle East, and Africa regions, with the rest coming from North America, Latin America, and Asia-Pacific regions.
Key Stats
Website: http://www.prysmian.com
Headquarter country: Italy
Employees: 19 538
Market Cap (at close 21.09.2018): EUR 6B
Fiscal Year Ends: desember
Stats

Stats 2017 2016 2015 2014 2013
Price/Earnings 24,10 20,20 36,20 17,20 30,70
Forward Price/Earnings 14,10 16,60 13,40 7,90
Price/Free Cash Flow 33,70 14,80 7,70 17,30 10,00
Return on Assets 3,50 4,00 3,60 2,00 2,50
Return on Equity 15,50 18,00 17,60 10,00 13,20
Return on Invested Capital 8,50 10,00 9,30 5,80 6,80
Dividend


Dividend/Share:0,400
Ex. Dividend Date:31.12.2017
Trailing Dividend Yield:1,93
Payout Ratio:42,16
Date Currency Amount
30.06.2017 EUR 0,420
30.06.2016 EUR 0,410
30.06.2015 EUR 0,410
30.06.2014 EUR 0,410
Income Statement

Revenue 2017 2016 2015 2014 2013
Total Revenue 7 901,00 7 567,00 7 361,00 6 840,00 7 273,00
Gross Profit 3,05 3,13 2,83 2,56 2,73
Gross Margin % 38,55% 41,39% 38,49% 37,50% 37,51%
Operating Expenses 2017 2016 2015 2014 2013
EBITDA 553,00 615,00 531,00 419,00 464,00
Net income 227,00 246,00 214,00 115,00 149,00
Basic Earnings Per Share 1,03 1,11 0,970 0,520 0,690
Operating Income 0,330 0,340 0,320 0,190 0,360
Operating Margin % 4,20% 4,43% 4,37% 2,79% 4,88%
Cash Flow

Cash Flow 2017 2016 2015 2014 2013
Operating Cash Flow 607,00 615,00 697,00 363,00 399,00
Capital Expenditures -257,00 -233,00 -210,00 -161,00 -121,00
Free Cash Flow 350,00 382,00 487,00 202,00 278,00
Balance Sheet

Assets 31.12.2017 31.12.2016 31.12.2015 31.12.2014 31.12.2013
Current Assets 3 964 000 3 527 000 3 543 000 3 305 000 3 359 000
Long Term Assets 2 779 000 2 784 000 2 572 000 2 355 000 2 343 000
Total Assets 6 743 000 6 311 000 6 115 000 5 660 000 5 702 000
Liabilities 31.12.2017 31.12.2016 31.12.2015 31.12.2014 31.12.2013
Total Current Liabilities 3 101 000 2 958 000 3 057 000 3 155 000 2 862 000
Long Term Liabilities 2 155 000 1 905 000 1 780 000
Total Liabilities 5 256 000 4 863 000 4 837 000
Equity 31.12.2017 31.12.2016 31.12.2015 31.12.2014 31.12.2013
Retained Earnings 227 000 246 000 214 000 115 000 149 000
Treasury Stock
Total Stockholder Equity 1 487 000 1 448 000 1 278 000 1 150 000 1 147 000
Net Tangible Assets 752 000 656 000 556 000 589 000 524 000