ALAF

EURONEXT:ALAFY

AFYREN SAS

  • Stock

EUR

Last Close

3.15

30/08 15:35

Market Cap

67.24M

Beta: -

Volume Today

19.01K

Avg: 5.17K

PE Ratio

−5.36

PFCF: −13.02

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Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
asset turnover
0.15
-
0.11
23.45%
0.03
70.69%
0.04
25.01%
0.05
17.75%
cash conversion cycle
-23.71
-
-49.12
107.18%
-119.72
143.76%
-79.22
33.83%
35.74
145.12%
cash per share
0.07
-
0.37
430.58%
3.43
830.70%
2.42
29.50%
company equity multiplier
2.71
-
2.90
6.92%
1.83
36.68%
1.20
34.75%
1.20
0.12%
1.14
4.64%
days of inventory outstanding
days of payables outstanding
23.71
-
49.12
107.18%
119.72
143.76%
79.22
33.83%
14.60
81.57%
days of sales outstanding
50.34
-
dividend yield
ebit per revenue
-0.14
-
0.04
127.72%
-0.72
1,910.43%
-1.55
116.83%
-1.75
12.89%
ebt per ebit
5.39
-
-13.44
349.42%
1.66
112.33%
1.71
3.31%
0.81
52.87%
effective tax rate
0.77
-
-0.00
100.55%
0.37
8,884.59%
0.40
7.90%
-1.00
349.71%
enterprise value multiple
-168.04
-
-165.35
1.60%
-38.53
76.70%
-11.34
70.57%
8.75
177.21%
fixed asset turnover
11.20
-
10.26
8.38%
10.69
4.20%
4.30
59.74%
4.34
0.78%
free cash flow per share
-0.04
-
-0.03
19.18%
-0.16
361.01%
-0.15
4.83%
gross profit margin
0.61
-
0.73
18.44%
0.48
33.41%
0.31
36.74%
-1.87
710.10%
interest coverage
-4.66
-
0.42
109.09%
-10.07
2,478.25%
-26.99
167.91%
-19.96
26.05%
inventory turnover
long term debt to capitalization
0.20
-
0.30
48.62%
0.23
23.44%
0.09
59.39%
0.05
49.79%
0.05
2.54%
net income per ebt
1
-
1.00
0.42%
1.00
0.39%
1
0.03%
2.00
100.29%
net profit margin
-0.77
-
-0.53
30.56%
-1.19
122.42%
-2.66
123.94%
-2.84
6.57%
operating cash flow per share
-0.03
-
-0.02
47.77%
-0.14
821.65%
-0.13
7.62%
operating cycle
50.34
-
operating profit margin
-0.14
-
0.04
127.72%
-0.72
1,910.43%
-1.55
116.83%
-1.75
12.89%
payables turnover
15.40
-
7.43
51.73%
3.05
58.98%
4.61
51.13%
25.01
442.68%
pretax profit margin
-0.77
-
-0.53
30.85%
-1.19
123.30%
-2.66
124.00%
-1.42
46.79%
price fair value
35.99
-
10.13
71.84%
2.19
78.43%
2.11
3.68%
receivables turnover
7.25
-
return on assets
-0.11
-
-0.06
46.84%
-0.04
34.81%
-0.11
179.95%
-0.14
25.49%
return on capital employed
-0.02
-
0.01
121.75%
-0.02
565.67%
-0.07
187.64%
-0.09
28.51%
return on equity
-0.32
-
-0.11
66.34%
-0.05
57.46%
-0.13
179.62%
-0.16
19.67%
total debt to capitalization
0.23
-
0.34
46.62%
0.32
5.57%
0.10
68.22%
0.11
4.14%
0.07
35.97%

All numbers in EUR (except ratios and percentages)