Financials Allane SE Xetra

Equities

LNSX

DE000A0DPRE6

Consumer Lending

End-of-day quote Xetra 18:00:00 2022-08-10 EDT 5-day change 1st Jan Change
13.1 EUR -.--% Intraday chart for Allane SE -.--% -.--%

Valuation

Fiscal Period: December 2019 2020 2021 2022 2023 2024 2025
Capitalization 1 232.9 315.8 322 239.1 230.8 226.7 -
Enterprise Value (EV) 1 1,178 1,249 1,125 1,042 230.8 1,130 1,201
P/E ratio 10.9 x 139 x 55.8 x 26.4 x 26 x 32.4 x 25.6 x
Yield 7.96% 0.13% 0.38% 0.78% - 1.59% 1.59%
Capitalization / Revenue 0.28 x 0.42 x 0.43 x 0.33 x 0.37 x 0.29 x 0.27 x
EV / Revenue 1.43 x 1.67 x 1.52 x 1.45 x 0.37 x 1.44 x 1.44 x
EV / EBITDA 5.06 x 5.91 x 6.11 x 5.63 x 1.04 x 5.34 x 5.27 x
EV / FCF 11.8 x 39.1 x 7.93 x 141 x - 36.8 x 34.7 x
FCF Yield 8.5% 2.56% 12.6% 0.71% - 2.72% 2.88%
Price to Book 1.01 x 1.48 x 1.47 x 1.05 x - 0.94 x 0.92 x
Nbr of stocks (in thousands) 20,612 20,612 20,612 20,612 20,612 20,612 -
Reference price 2 11.30 15.32 15.62 11.60 11.20 11.00 11.00
Announcement Date 20-04-29 21-04-28 22-04-29 23-04-28 24-04-30 - -
1EUR in Million2EUR
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2019 2020 2021 2022 2023 2024 2025
Net sales 1 824 747.7 740.4 717 619.2 782.9 833
EBITDA 1 233 211.4 184 185.1 221 211.6 227.8
EBIT 1 41 20.19 12.99 17 28.6 24.35 30.7
Operating Margin 4.98% 2.7% 1.75% 2.37% 4.62% 3.11% 3.69%
Earnings before Tax (EBT) 1 29 9.1 6.133 12.8 12.6 5.4 9.5
Net income 1 22 2.173 5.838 9 8.9 7.1 8.9
Net margin 2.67% 0.29% 0.79% 1.26% 1.44% 0.91% 1.07%
EPS 2 1.040 0.1100 0.2800 0.4400 0.4300 0.3400 0.4300
Free Cash Flow 1 100.2 31.95 141.8 7.393 - 30.7 34.6
FCF margin 12.16% 4.27% 19.15% 1.03% - 3.92% 4.15%
FCF Conversion (EBITDA) 43% 15.11% 77.07% 3.99% - 14.51% 15.19%
FCF Conversion (Net income) 455.46% 1,470.23% 2,429.17% 82.14% - 432.39% 388.76%
Dividend per Share 2 0.9000 0.0200 0.0600 0.0900 - 0.1750 0.1750
Announcement Date 20-04-29 21-04-28 22-04-29 23-04-28 24-04-30 - -
1EUR in Million2EUR
Estimates

Balance Sheet Analysis

Fiscal Period: December 2019 2020 2021 2022 2023 2024 2025
Net Debt 1 946 934 803 803 - 903 975
Net Cash position 1 - - - - - - -
Leverage (Debt/EBITDA) 4.058 x 4.416 x 4.364 x 4.336 x - 4.268 x 4.279 x
Free Cash Flow 1 100 31.9 142 7.39 - 30.7 34.6
ROE (net income / shareholders' equity) 4.8% 0.98% 2.7% 4.03% - 3% 3.6%
ROA (Net income/ Total Assets) 1.58% - - - - - -
Assets 1 1,392 - - - - - -
Book Value Per Share 2 11.10 10.40 10.60 11.10 - 11.70 12.00
Cash Flow per Share - - - - - - -
Capex 1 6.89 9.15 16.1 6.74 - 7.7 8.2
Capex / Sales 0.84% 1.22% 2.17% 0.94% - 0.98% 0.98%
Announcement Date 20-04-29 21-04-28 22-04-29 23-04-28 24-04-30 - -
1EUR in Million2EUR
Estimates

EPS & Dividend

Year-on-year evolution of the PER

Year-on-year evolution of the Yield

Change in Enterprise Value/EBITDA

Trading Rating
Investor Rating
ESG Refinitiv
C-
More Ratings
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
2
Last Close Price
11 EUR
Average target price
12.25 EUR
Spread / Average Target
+11.36%
Consensus

Annual profits - Rate of surprise