Financials Sönmez Filament Sentetik Iplik ve Elyaf Sanayi

Equities

SONME

TRASONME91B5

Specialty Chemicals

Market Closed - Borsa Istanbul 11:08:01 2024-06-28 EDT 5-day change 1st Jan Change
91.75 TRY -0.70% Intraday chart for Sönmez Filament Sentetik Iplik ve Elyaf Sanayi -5.66% +47.51%

Valuation

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Capitalization 1 174.9 273.6 3,936 2,701 3,175 4,603
Enterprise Value (EV) 1 173.8 273.5 3,934 2,700 3,171 4,602
P/E ratio -14.2 x 12.5 x 117 x 92.6 x 242 x 389 x
Yield - - - - 0.38% -
Capitalization / Revenue 23.6 x 31.9 x 511 x 180 x 152 x 148 x
EV / Revenue 23.5 x 31.9 x 511 x 179 x 152 x 148 x
EV / EBITDA 41.6 x 42.2 x 736 x 228 x 185 x 208 x
EV / FCF 61.9 x 34.2 x 3,979 x 390 x 267 x 364 x
FCF Yield 1.61% 2.92% 0.03% 0.26% 0.37% 0.27%
Price to Book 7.46 x 1.35 x 16.6 x 10.1 x 11.1 x 5.72 x
Nbr of stocks (in thousands) 74,000 74,000 74,000 74,000 74,000 74,000
Reference price 2 2.364 3.697 53.19 36.50 42.90 62.20
Announcement Date 3/1/19 3/2/20 2/1/21 3/1/22 2/24/23 5/9/24
1TRY in Million2TRY
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net sales 1 7.406 8.579 7.7 15.05 20.88 31.02
EBITDA 1 4.179 6.484 5.348 11.86 17.1 22.13
EBIT 1 3.317 6.198 5.2 11.76 16.89 21.19
Operating Margin 44.79% 72.25% 67.53% 78.18% 80.93% 68.29%
Earnings before Tax (EBT) 1 -11.88 24.22 37.96 29.08 16.12 23.06
Net income 1 -12.3 21.92 33.69 29.16 13.09 11.85
Net margin -166.04% 255.51% 437.5% 193.78% 62.72% 38.18%
EPS 2 -0.1662 0.2962 0.4552 0.3940 0.1769 0.1601
Free Cash Flow 1 2.806 7.995 0.9887 6.93 11.86 12.65
FCF margin 37.88% 93.19% 12.84% 46.06% 56.79% 40.78%
FCF Conversion (EBITDA) 67.13% 123.31% 18.49% 58.41% 69.34% 57.18%
FCF Conversion (Net income) - 36.47% 2.94% 23.77% 90.55% 106.81%
Dividend per Share - - - - 0.1622 -
Announcement Date 3/1/19 3/2/20 2/1/21 3/1/22 2/24/23 5/9/24
1TRY in Million2TRY
Estimates

Balance Sheet Analysis

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net Debt 1 - - - - - -
Net Cash position 1 1.12 0.09 1.8 0.54 3.71 0.89
Leverage (Debt/EBITDA) - - - - - -
Free Cash Flow 1 2.81 7.99 0.99 6.93 11.9 12.7
ROE (net income / shareholders' equity) -25% 19.4% 15.3% 11.5% 4.73% 1.47%
ROA (Net income/ Total Assets) 4.11% 3.12% 1.35% 2.7% 3.53% 1.53%
Assets 1 -299.1 703 2,493 1,081 371 774.5
Book Value Per Share 2 0.3200 2.730 3.210 3.620 3.860 10.90
Cash Flow per Share 2 0.0200 0 0.0200 0.0100 0.0500 0.0100
Capex 1 0.46 0.04 0.01 - 1.3 3.71
Capex / Sales 6.27% 0.46% 0.13% - 6.21% 11.96%
Announcement Date 3/1/19 3/2/20 2/1/21 3/1/22 2/24/23 5/9/24
1TRY in Million2TRY
Estimates
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