Financials San-el Mühendislik Elektrik Taahhüt Sanayi ve Ticaret

Equities

SANEL

TRESNEL00011

Heavy Electrical Equipment

Delayed Borsa Istanbul 03:48:03 2024-06-27 EDT 5-day change 1st Jan Change
26.94 TRY +7.76% Intraday chart for San-el Mühendislik Elektrik Taahhüt Sanayi ve Ticaret +0.82% +8.24%

Valuation

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Capitalization 1 28.77 53.45 62.43 113.2 417.7 456.4
Enterprise Value (EV) 1 28.55 52.69 63.02 113.4 417.5 457.2
P/E ratio -6.42 x 16.9 x -7.42 x -29 x -617 x -20 x
Yield - - - - - -
Capitalization / Revenue 0.52 x 2.47 x 2.44 x 4.91 x 12.7 x 4.71 x
EV / Revenue 0.51 x 2.43 x 2.47 x 4.91 x 12.7 x 4.72 x
EV / EBITDA -3.49 x -105 x -7.9 x -16.7 x -92.1 x 129 x
EV / FCF 4.94 x 39.9 x 17.5 x 92.8 x -832 x 17.4 x
FCF Yield 20.3% 2.51% 5.72% 1.08% -0.12% 5.74%
Price to Book 1.69 x 2.48 x 7.41 x 23.5 x 51 x -90.6 x
Nbr of stocks (in thousands) 18,216 18,216 18,255 18,255 18,255 18,255
Reference price 2 1.579 2.934 3.420 6.200 22.88 25.00
Announcement Date 19-02-25 20-03-06 21-03-11 22-04-08 23-05-10 24-06-03
1TRY in Million2TRY
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net sales 1 55.77 21.68 25.54 23.07 32.87 96.87
EBITDA 1 -8.174 -0.5005 -7.975 -6.81 -4.535 3.549
EBIT 1 -8.365 -0.5586 -8.51 -7.225 -4.878 1.621
Operating Margin -15% -2.58% -33.32% -31.32% -14.84% 1.67%
Earnings before Tax (EBT) 1 -5.015 4.221 -9.887 -6.487 2.33 -20.87
Net income 1 -4.49 3.169 -8.41 -3.9 -0.6766 -22.77
Net margin -8.05% 14.62% -32.93% -16.9% -2.06% -23.51%
EPS 2 -0.2460 0.1736 -0.4607 -0.2136 -0.0371 -1.247
Free Cash Flow 1 5.782 1.322 3.605 1.222 -0.502 26.26
FCF margin 10.37% 6.1% 14.11% 5.3% -1.53% 27.11%
FCF Conversion (EBITDA) - - - - - 739.81%
FCF Conversion (Net income) - 41.72% - - - -
Dividend per Share - - - - - -
Announcement Date 19-02-25 20-03-06 21-03-11 22-04-08 23-05-10 24-06-03
1TRY in Million2TRY
Estimates

Balance Sheet Analysis

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net Debt 1 - - 0.59 0.2 - 0.78
Net Cash position 1 0.22 0.75 - - 0.15 -
Leverage (Debt/EBITDA) - - -0.074 x -0.03 x - 0.2202 x
Free Cash Flow 1 5.78 1.32 3.61 1.22 -0.5 26.3
ROE (net income / shareholders' equity) -22.9% 15.2% -52% -33.9% 2.61% -96.9%
ROA (Net income/ Total Assets) -9.79% -0.78% -12.7% -11.3% -6.91% 0.98%
Assets 1 45.88 -405.2 66.24 34.43 9.799 -2,322
Book Value Per Share 2 0.9300 1.180 0.4600 0.2600 0.4500 -0.2800
Cash Flow per Share 2 0.1900 0.1000 0.0300 0.0100 0.0300 0.0500
Capex 1 0.43 0.07 0.01 0.45 1.6 2.73
Capex / Sales 0.77% 0.33% 0.04% 1.97% 4.87% 2.82%
Announcement Date 19-02-25 20-03-06 21-03-11 22-04-08 23-05-10 24-06-03
1TRY in Million2TRY
Estimates
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