Financials Grupa RECYKL S.A.

Equities

GRC

PLRCKL000010

Tires & Rubber Products

End-of-day quote Warsaw S.E. 06:00:00 2024-07-15 pm EDT 5-day change 1st Jan Change
83.5 PLN 0.00% Intraday chart for Grupa RECYKL S.A. -1.76% -6.70%

Valuation

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Capitalization 1 28.08 29.9 65.75 111.5 79.3 147.9
Enterprise Value (EV) 1 50.31 78.49 115.4 156.2 151.2 213.4
P/E ratio 7.73 x 26.5 x 12.8 x 9.73 x 9.3 x 13.3 x
Yield - - - 0.74% - -
Capitalization / Revenue 0.53 x 0.6 x 0.98 x 1.26 x 0.73 x 1.16 x
EV / Revenue 0.96 x 1.58 x 1.72 x 1.77 x 1.39 x 1.67 x
EV / EBITDA 4.29 x 8.24 x 6.61 x 6 x 5.96 x 7.09 x
EV / FCF 12.7 x -1.78 x 30 x 30.9 x -9.57 x 5,624 x
FCF Yield 7.9% -56.3% 3.33% 3.24% -10.5% 0.02%
Price to Book 1.26 x 1.01 x 1.94 x 2.49 x 1.51 x 2.37 x
Nbr of stocks (in thousands) 1,377 1,652 1,652 1,652 1,652 1,652
Reference price 2 20.40 18.10 39.80 67.50 48.00 89.50
Announcement Date 5/31/19 6/19/20 5/29/21 5/30/22 5/26/23 5/29/24
1PLN in Million2PLN
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net sales 1 52.63 49.62 67.09 88.37 108.7 127.6
EBITDA 1 11.73 9.532 17.46 26.05 25.36 30.1
EBIT 1 6.419 3.691 8.707 17 15.5 17.06
Operating Margin 12.2% 7.44% 12.98% 19.23% 14.25% 13.37%
Earnings before Tax (EBT) 1 4.867 1.824 6.182 14.34 10.86 13.6
Net income 1 3.634 1.13 5.129 11.46 8.523 11.1
Net margin 6.9% 2.28% 7.65% 12.97% 7.84% 8.7%
EPS 2 2.640 0.6840 3.105 6.939 5.159 6.721
Free Cash Flow 1 3.976 -44.18 3.848 5.062 -15.81 0.0379
FCF margin 7.55% -89.03% 5.74% 5.73% -14.54% 0.03%
FCF Conversion (EBITDA) 33.89% - 22.04% 19.43% - 0.13%
FCF Conversion (Net income) 109.41% - 75.02% 44.16% - 0.34%
Dividend per Share - - - 0.5000 - -
Announcement Date 5/31/19 6/19/20 5/29/21 5/30/22 5/26/23 5/29/24
1PLN in Million2PLN
Estimates

Balance Sheet Analysis

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net Debt 1 22.2 48.6 49.7 44.7 71.9 65.5
Net Cash position 1 - - - - - -
Leverage (Debt/EBITDA) 1.894 x 5.098 x 2.844 x 1.716 x 2.837 x 2.178 x
Free Cash Flow 1 3.98 -44.2 3.85 5.06 -15.8 0.04
ROE (net income / shareholders' equity) 17.8% 4.37% 16.2% 29.1% 17.5% 19.3%
ROA (Net income/ Total Assets) 5.05% 2.16% 4.08% 7.65% 5.95% 5.69%
Assets 1 71.94 52.39 125.6 149.9 143.2 195
Book Value Per Share 2 16.20 17.80 20.50 27.10 31.70 37.80
Cash Flow per Share 2 0.5800 0.4400 2.160 3.070 1.430 3.790
Capex 1 4.65 50.5 6.85 15.6 33.8 11.9
Capex / Sales 8.83% 101.76% 10.21% 17.6% 31.1% 9.35%
Announcement Date 5/31/19 6/19/20 5/29/21 5/30/22 5/26/23 5/29/24
1PLN in Million2PLN
Estimates

EPS & Dividend

Year-on-year evolution of the PER

Change in Enterprise Value/EBITDA

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