CHR
COM:CHR-HANSEN
Chr. Hansen A/S
- Stock
Last Close
553.00
30/01 15:59
Market Cap
72.33B
Beta: -
Volume Today
407.54K
Avg: -
Preview
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Aug '14 | Aug '15 | Aug '16 | Aug '17 | Aug '18 | Aug '19 | Aug '20 | Aug '21 | Aug '22 | Aug '23 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
asset turnover | 0.55 - | 0.59 8.06% | 0.55 6.92% | 0.59 6.58% | 0.59 0.01% | 0.56 4.31% | 0.34 39.76% | 0.35 1.78% | 0.37 6.14% | 0.39 5.93% | |
cash conversion cycle | 18.31 - | 13.28 27.44% | 8.48 36.18% | 18.69 120.45% | 20.79 11.26% | 19.92 4.17% | 19.95 0.14% | 1.42 92.90% | 32.42 2,189.77% | 106.62 228.85% | |
cash per share | 0.44 - | 0.58 34.04% | 0.92 57.16% | 0.56 39.55% | 0.52 5.48% | 0.66 26.40% | 0.73 10.06% | 0.42 42.71% | 0.63 50.27% | 0.42 32.50% | |
company equity multiplier | 2.09 - | 2.40 14.86% | 2.35 2.32% | 2.34 0.16% | 2.41 2.86% | 2.58 7.02% | 3.20 23.80% | 1.92 40.07% | 18.33 857.37% | 1.81 90.15% | |
days of inventory outstanding | 99.73 - | 95.90 3.84% | 98.84 3.07% | 101.87 3.07% | 107.93 5.94% | 114.26 5.87% | 115.65 1.21% | 105.33 8.92% | 121.73 15.57% | 115.99 4.72% | |
days of payables outstanding | 81.42 - | 82.62 1.47% | 90.37 9.38% | 83.19 7.94% | 87.14 4.75% | 94.34 8.27% | 95.69 1.44% | 103.91 8.59% | 89.31 14.05% | 66.60 25.43% | |
days of sales outstanding | 57.22 - | ||||||||||
dividend yield | 0.03 - | 0.03 13.85% | 0.01 62.56% | 0.02 74.69% | 0.02 6.86% | 0.02 18.26% | 0.01 55.85% | 0.01 14.33% | 0.02 34.61% | 0.02 3.57% | |
ebit per revenue | 0.26 - | 0.27 4.96% | 0.27 0.53% | 0.29 6.81% | 0.29 1.41% | 0.29 0.62% | 0.32 9.90% | 0.26 20.55% | 0.26 2.77% | 0.27 2.06% | |
ebt per ebit | 0.93 - | 0.94 1.69% | 0.94 0.88% | 0.95 1.60% | 0.92 2.82% | 0.95 3.03% | 0.94 0.88% | 0.89 5.27% | 0.91 2.02% | 0.83 9.22% | |
effective tax rate | 0.27 - | 0.26 3.86% | 0.23 10.80% | 0.23 0.98% | 0.23 0.29% | 0.23 0.16% | 0.22 5.73% | 0.20 9.53% | 0.23 18.18% | 0.24 2.15% | |
enterprise value multiple | 17.71 - | 21.64 22.17% | 23.95 10.71% | 27.97 16.77% | 32.92 17.72% | 26.35 19.98% | 34.52 31.04% | 28.79 16.60% | 20.22 29.76% | 16.70 17.41% | |
fixed asset turnover | 2.52 - | 2.64 4.80% | 2.69 1.63% | 2.58 3.79% | 2.38 7.97% | 2.01 15.49% | 1.48 26.28% | 1.38 7.01% | 1.39 0.77% | 1.36 2.09% | |
free cash flow per share | 0.86 - | 1.16 34.32% | 1.28 10.65% | 1.35 5.75% | 1.48 9.30% | 1.21 18.30% | 1.87 54.57% | 1.18 36.97% | 1.27 7.94% | 1.52 19.80% | |
gross profit margin | 0.52 - | 0.52 0.48% | 0.53 2.44% | 0.54 2.15% | 0.55 0.59% | 0.56 2.29% | 0.60 7.55% | 0.57 5.44% | 0.56 2.44% | 0.54 2.41% | |
interest coverage | 23.23 - | 31.42 35.27% | 29.38 6.49% | 38.21 30.07% | 36.80 3.68% | 23.84 35.23% | 23.89 0.23% | 13.54 43.33% | 30.56 125.73% | ||
inventory turnover | 3.66 - | 3.81 3.99% | 3.69 2.98% | 3.58 2.98% | 3.38 5.61% | 3.19 5.54% | 3.16 1.20% | 3.47 9.79% | 3.00 13.47% | 3.15 4.95% | |
long term debt to capitalization | 0.41 - | 0.47 15.98% | 0.45 4.34% | 0.47 3.32% | 0.45 3.43% | 0.48 5.63% | 0.45 4.99% | 0.33 27.64% | 0.83 152.24% | 0.33 60.36% | |
net income per ebt | 0.73 - | 0.74 1.44% | 0.77 3.80% | 0.77 0.30% | 0.77 0.09% | 0.77 0.05% | 0.83 7.59% | 0.80 2.98% | 0.77 4.43% | 0.76 0.65% | |
net profit margin | 0.17 - | 0.19 8.26% | 0.19 2.34% | 0.21 8.84% | 0.21 1.36% | 0.22 3.63% | 0.25 17.21% | 0.18 26.98% | 0.18 0.21% | 0.17 7.95% | |
operating cash flow per share | 1.34 - | 1.69 26.89% | 1.88 10.77% | 2.16 14.97% | 2.30 6.44% | 2.27 1.32% | 2.77 22.09% | 2.36 14.74% | 2.34 0.64% | 2.40 2.42% | |
operating cycle | 99.73 - | 95.90 3.84% | 98.84 3.07% | 101.87 3.07% | 107.93 5.94% | 114.26 5.87% | 115.65 1.21% | 105.33 8.92% | 121.73 15.57% | 173.22 42.29% | |
operating profit margin | 0.26 - | 0.27 4.96% | 0.27 0.53% | 0.29 6.81% | 0.29 1.41% | 0.29 0.62% | 0.32 9.90% | 0.26 20.55% | 0.26 2.77% | 0.27 2.06% | |
payables turnover | 4.48 - | 4.42 1.45% | 4.04 8.58% | 4.39 8.63% | 4.19 4.53% | 3.87 7.64% | 3.81 1.42% | 3.51 7.91% | 4.09 16.35% | 5.48 34.11% | |
pretax profit margin | 0.24 - | 0.26 6.73% | 0.25 1.40% | 0.27 8.52% | 0.27 1.45% | 0.28 3.67% | 0.30 8.94% | 0.23 24.74% | 0.24 4.85% | 0.22 7.35% | |
price fair value | 6.25 - | 9.76 56.07% | 9.71 0.55% | 12.36 27.35% | 14.92 20.68% | 12.63 15.36% | 14.19 12.41% | 6.33 55.40% | 42.31 568.38% | 4.18 90.11% | |
receivables turnover | 6.38 - | ||||||||||
return on assets | 0.10 - | 0.11 16.99% | 0.11 4.74% | 0.12 16.00% | 0.12 1.35% | 0.12 0.84% | 0.09 29.39% | 0.06 25.68% | 0.07 6.37% | 0.07 2.50% | |
return on capital employed | 0.16 - | 0.19 16.21% | 0.18 5.98% | 0.20 10.80% | 0.21 6.14% | 0.20 4.78% | 0.17 15.15% | 0.10 39.14% | 0.11 5.59% | 0.12 6.76% | |
return on equity | 0.20 - | 0.27 34.38% | 0.25 6.95% | 0.29 15.81% | 0.30 1.47% | 0.31 6.12% | 0.27 12.58% | 0.12 55.46% | 1.24 918.32% | 0.12 90.40% | |
total debt to capitalization | 0.41 - | 0.48 17.25% | 0.48 1.42% | 0.48 0.09% | 0.49 1.72% | 0.51 4.57% | 0.61 21.01% | 0.37 39.83% | 0.84 127.80% | 0.33 61.16% |
All numbers in DKK (except ratios and percentages)