Cofle S.p.A.

Symbol: CFL.MI

EURONEXT

7.2

EUR

Market price today

  • 68.3507

    P/E Ratio

  • 0.0000

    PEG Ratio

  • 44.32M

    MRK Cap

  • 0.04%

    DIV Yield

Cofle S.p.A. (CFL-MI) Stock Price & Analysis

Shares Outstanding

0M

Gross Profit Margin

0.24%

Operating Profit Margin

0.11%

Net Profit Margin

0.01%

Return on Assets

0.01%

Return on Equity

0.02%

Return on Capital Employed

0.25%

Company general description and statistics

Sector: Consumer Cyclical
Industry: Auto Parts
CEO:Alessandra Barbieri
Full-time employees:585
City:Milan
Address:Via del Ghezzo, 54
IPO:2021-11-15
CIK:

Cofle S.p.A. manufactures and sells cables and systems worldwide. It offers control cables, such as accelerator, bonnet, brake, choke, clutch, copper pipes hydraulic, electric puller brake, gear shift, and speedometer cables, as well as brake hoses for use in agricultural, earth moving machinery, commercial vehicle, and automotive markets. The company was founded in 1964 and is headquartered in Milan, Italy.

General Outlook

When we look at how much money they make before expenses, they keep 0.239% as profit. This shows they're good at controlling costs and are financially stable. Their operating profit, which is money made from regular business activities, is 0.110%. This means they run their business efficiently. Lastly, after paying all their bills, they still have a profit of 0.006%. This tells us they're good at keeping money after all costs.

Return on Investments

The company's asset efficiency, represented by a robust 0.008% return, is a testament to Cofle S.p.A.'s adeptness in optimizing resource deployment. Cofle S.p.A.'s utilization of its assets to generate profits is strikingly evident through a noteworthy return on equity of 0.021%. Furthermore, the proficiency of Cofle S.p.A. in capital utilization is underscored by a remarkable 0.248% return on capital employed.

Stock Prices

Cofle S.p.A.'s stock prices have been subject to undulating patterns. The peak stock value during this interval surged to $7.65, while its low point bottomed out at $7.65. This variance in figures offers investors a lucid insight into the roller-coaster ride that is Cofle S.p.A.'s stock market.

Liquidity Ratios

Analyzing CFL.MI liquidity ratios reveals its financial health of the firm. The current ratio of 188.64% gauges short-term asset coverage for liabilities. The quick ratio (125.56%) assesses immediate liquidity, while the cash ratio (69.18%) indicates cash reserves.

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Current Ratio188.64%
Quick Ratio125.56%
Cash Ratio69.18%

Profitability Ratios

CFL.MI profitability indicators offer a lens into its earnings landscape. A pretax profit margin of 2.25% underscores its earnings before tax deductions. The effective tax rate stands at 53.13%, revealing its tax efficiency. The net income per EBT, 26.10%, and the EBT per EBIT, 20.55%, provide insights into its earnings hierarchy. Lastly, with an EBIT per revenue ratio of 10.96%, we grasp its operational profitability.

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Pretax Profit Margin2.25%
Effective Tax Rate53.13%
Net Income per EBT26.10%
EBT per EBIT20.55%
EBIT per Revenue10.96%

Operational Efficiency

Operational metrics shed light on its business agility. With an operating cycle of 1.89, it details the span from stock purchase to revenue. The 1 days it takes to settle debts showcases its creditor relations. Meanwhile, a 1 cash conversion cycle and 619.18% receivables turnover rate reflect its cash flow efficiency and credit management, respectively.

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Days of Sales Outstanding126
Days of Inventory Outstanding85
Operating Cycle144.06
Days of Payables Outstanding48
Cash Conversion Cycle96
Receivables Turnover6.19
Payables Turnover7.62
Inventory Turnover4.29
Fixed Asset Turnover7.93
Asset Turnover1.37

Cash Flow Ratios

Peering into the cash flow metrics reveals liquidity and operational efficiency. The operating cash flow per share, 1.21, and free cash flow per share, -0.83, depict cash generation on a per-share basis. The cash per share value, 2.96, showcases liquidity position. A payout ratio of 3.65 highlights the portion of earnings distributed as dividends. Lastly, the operating cash flow sales ratio, 0.08, offers insight into cash flow relative to sales.

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Operating Cash Flow per Share1.21
Free Cash Flow per Share-0.83
Cash per Share2.96
Payout Ratio3.65
Operating Cash Flow Sales Ratio0.08
Free Cash Flow to Operating Cash Flow Ratio-0.69
Cash Flow Coverage Ratio0.32
Short Term Coverage Ratio0.53
Capital Expenditure Coverage Ratio0.59
Dividend Paid and Capex Coverage Ratio0.51
Dividend Payout Ratio0.03

Debt and Leverage Ratios

Diving into debt and leverage metrics unveils the company's financial structure. The debt ratio, at 34.81%, highlights its total liabilities relative to assets. With a debt-equity ratio of 0.87, we discern the balance between debt and equity financing. The long-term debt to capitalization, 25.57%, and total debt to capitalization, 46.61%, ratios shed light on its capital structure. An interest coverage of 3.83 indicates its ability to manage interest expenses.

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Debt Ratio34.81%
Debt Equity Ratio0.87
Long Term Debt to Capitalization25.57%
Total Debt to Capitalization46.61%
Interest Coverage3.83
Cash Flow to Debt Ratio0.32
Company Equity Multiplier2.51

Per Share Data

Speaking about the per share data offers a perceptive view of financial distribution. The revenue per share, 9.86, provides a glimpse into top-line earnings distributed across each share. Net income per share, 0.06, reflects the portion of profit attributed to each share. The book value per share, 4.34, represents the net asset value distributed per share, while the tangible book value per share, 4.37, excludes intangible assets.

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Revenue Per Share9.86
Net Income Per Share0.06
Book Value Per Share4.34
Tangible Book Value Per Share4.37
Shareholders Equity Per Share4.34
Interest Debt Per Share3.78
Capex Per Share-1.45

Growth Ratios

Delving into growth metrics provides a snapshot of financial expansion. The revenue growth rate, 6.83%, indicates top-line expansion, while the gross profit growth, -67.23%, reveals profitability trends. EBIT growth, -31.22%, and operating income growth, -31.22%, offer insights into operational profitability progression. The net income growth, -84.28%, showcases bottom-line expansion, and the EPS growth, -84.19%, measures the growth in earnings per share.

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Revenue Growth6.83%
Gross Profit Growth-67.23%
EBIT Growth-31.22%
Operating Income Growth-31.22%
Net Income Growth-84.28%
EPS Growth-84.19%
EPS Diluted Growth-84.19%
Weighted Average Shares Growth-0.16%
Weighted Average Shares Diluted Growth-0.16%
Dividends per Share Growth-36.26%
Operating Cash Flow Growth270.28%
Free Cash Flow Growth-106.37%
10-Year Revenue Growth per Share39.01%
5-Year Revenue Growth per Share39.01%
3-Year Revenue Growth per Share42.53%
10-Year Operating CF Growth per Share88.42%
5-Year Operating CF Growth per Share88.42%
3-Year Operating CF Growth per Share176.03%
10-Year Net Income Growth per Share-87.65%
5-Year Net Income Growth per Share-87.65%
3-Year Net Income Growth per Share-90.77%
10-Year Shareholders Equity Growth per Share307.06%
5-Year Shareholders Equity Growth per Share307.06%
3-Year Shareholders Equity Growth per Share162.20%
Receivables Growth-6.42%
Inventory Growth21.57%
Asset Growth6.71%
Book Value per Share Growth-4.04%
Debt Growth17.12%
SGA Expenses Growth47.64%

Other Metrics

Venturing into other key metrics unveils diverse facets of financial performance. The enterprise value, 55,471,054.4, captures the company's total value, considering both debt and equity. Income quality, 13.74, assesses the reliability of reported earnings. The ratio of intangibles to total assets, 3.51%, indicates the value of non-physical assets, and capex to operating cash flow, -180.12%, measures reinvestment capability.

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Enterprise Value55,471,054.4
Income Quality13.74
Research and Development to Revenue0.70%
Intangibles to Total Assets3.51%
Capex to Operating Cash Flow-180.12%
Capex to Revenue-14.69%
Capex to Depreciation-277.75%
Graham Number2.39
Return on Tangible Assets0.56%
Graham Net Net-0.03
Working Capital23,295,473
Tangible Asset Value26,836,428
Net Current Asset Value11,940,912
Invested Capital1
Average Receivables15,324,116.5
Average Payables8,627,464.5
Average Inventory14,828,681
Days Sales Outstanding89
Days Payables Outstanding64
Days of Inventory On Hand114
ROIC7.65%
ROE0.01%

Valuation Ratios

Exploring the valuation ratios offers insights into perceived market value. The price to book value ratio, 1.38, and the price to book ratio, 1.38, reflect the market's valuation relative to the company's book value. The price to sales ratio, 0.40, provides a perspective on valuation in relation to sales. Ratios like price to free cash flows, -7.22, and price to operating cash flows, 4.98, gauge market valuation against cash flow metrics.

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Price Book Value Ratio1.38
Price to Book Ratio1.38
Price to Sales Ratio0.40
Price Cash Flow Ratio4.98
Enterprise Value Multiple2.19
Price Fair Value1.38
Price to Operating Cash Flow Ratio4.98
Price to Free Cash Flows Ratio-7.22
Price to Tangible Book Ratio1.89
Enterprise Value to Sales0.92
Enterprise Value Over EBITDA5.60
EV to Operating Cash Flow11.23
Earnings Yield0.71%
Free Cash Flow Yield-7.85%
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Frequently Asked Question

How many company shares are outstanding in 2024?

There are stock number shares outstanding of Cofle S.p.A. (CFL.MI) on the EURONEXT in 2024.

What is P/E ratio of enterprise in 2024?

The current P/E ratio of enterprise is 68.351 in 2024.

What is the ticker symbol of Cofle S.p.A. stock?

The ticker symbol of Cofle S.p.A. stock is CFL.MI.

What is company IPO date?

IPO date of Cofle S.p.A. is 2021-11-15.

What is company current share price?

Current share price is 7.200 EUR.

What is stock market cap today?

The market cap of stock today is 44323171.000.

What is PEG ratio in 2024?

The current 0.000 is 0.000 in 2024.

What is the number of employees in 2024?

In 2024 the company has 585.