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IE:PERMANENTTSBGROUP

Permanent TSB Group

  • Stock

EUR

Last Close

2.38

29/03 16:49

Market Cap

1.30B

Beta: -

Volume Today

310.21K

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
asset turnover
0.01
-
0.01
34.19%
0.01
45.54%
0.02
33.36%
0.02
3.64%
0.02
4.18%
0.02
0.50%
0.02
12.26%
0.02
9.14%
0.02
1.91%
cash per share
1.74
-
1.91
9.61%
1.82
4.51%
1.35
25.90%
2.27
68.03%
1.75
22.72%
2.71
54.65%
6.70
147.52%
8.62
28.68%
3.99
53.76%
company equity multiplier
15.77
-
15.92
0.92%
12.24
23.12%
11.24
8.16%
10.79
3.97%
11.02
2.06%
10.15
7.82%
10.76
5.93%
12.43
15.55%
10.81
12.99%
days of inventory outstanding
days of payables outstanding
days of sales outstanding
87.55
-
43.68
50.11%
14.15
67.60%
29.73
-
18.56
37.57%
dividend yield
ebit per revenue
0.26
-
1.50
470.90%
-0.28
118.63%
-0.13
52.20%
0.34
355.93%
0.18
47.56%
0.24
34.12%
-0.33
239.06%
0.06
116.62%
0.78
1,307.29%
ebt per ebit
-9.41
-
-0.09
99.03%
3.77
4,227.72%
3.83
1.50%
0.34
91.01%
0.04
88.97%
0.42
1,017.17%
1.33
213.03%
-1.05
179.07%
0.83
178.97%
effective tax rate
0.61
-
-1.13
284.64%
0.02
101.84%
-0.18
953.49%
0.23
230.38%
25.33
10,877.78%
0.29
98.87%
0.02
91.57%
0.05
97.62%
0.16
246.07%
enterprise value multiple
32.63
-
5.44
83.34%
-34.98
743.33%
-68.86
96.87%
9.56
113.88%
10.03
4.96%
1.78
82.21%
20.42
1,044.53%
-35.96
276.08%
-0.10
99.71%
fixed asset turnover
3.30
-
3.51
6.21%
3.59
2.24%
3.54
1.25%
3.14
11.35%
2.87
8.65%
2.05
28.41%
1.97
3.94%
1.90
3.73%
2.02
6.55%
free cash flow per share
5.44
-
7.04
29.43%
2.46
65.10%
-1.00
140.62%
0.11
111.01%
0.72
558%
-0.41
156.84%
5.05
1,328.34%
1.53
69.74%
7.25
374.39%
gross profit margin
1
-
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
interest coverage
0.10
-
0.92
853.65%
-0.36
139.35%
-0.35
2.00%
1.53
531.72%
1.04
31.85%
1.74
67.09%
-3.05
275.54%
0.49
116.00%
5.85
1,100.18%
inventory turnover
long term debt to capitalization
0.65
-
0.63
4.33%
0.30
52.12%
0.39
30.36%
0.44
12.58%
0.36
19.02%
0.33
8.51%
0.30
7.39%
0.31
3.03%
0.28
8.86%
net income per ebt
0.39
-
2.13
443.87%
0.98
53.92%
1.18
20.19%
0.77
34.64%
-24.33
3,263.33%
0.71
102.94%
0.98
36.63%
0.95
2.41%
0.84
12.30%
net profit margin
-0.96
-
-0.29
69.83%
-1.03
254.37%
-0.60
41.69%
0.09
115.04%
-0.17
282.91%
0.07
143.98%
-0.43
694.72%
-0.06
87.18%
0.54
1,074.61%
operating cash flow per share
5.49
-
7.12
29.78%
2.51
64.80%
-0.94
137.36%
0.15
116.43%
0.79
415.71%
-0.33
141.83%
5.17
1,656.95%
1.58
69.42%
7.39
367.04%
operating profit margin
0.26
-
1.50
470.90%
-0.28
118.63%
-0.13
52.20%
0.34
355.93%
0.18
47.56%
0.24
34.12%
-0.33
239.06%
0.06
116.62%
0.78
1,307.29%
payables turnover
pretax profit margin
-2.46
-
-0.14
94.45%
-1.05
668.99%
-0.51
51.49%
0.12
123.01%
0.01
94.22%
0.10
1,398.31%
-0.44
535.29%
-0.06
86.86%
0.65
1,211.35%
price fair value
0.00
-
0.00
4.56%
0.83
18,051.64%
0.60
27.37%
0.49
19.09%
0.37
23.85%
0.25
32.28%
0.20
21.12%
0.39
98.87%
0.34
12.52%
receivables turnover
4.17
-
8.36
100.45%
25.79
208.64%
12.28
-
19.67
60.18%
return on assets
-0.01
-
-0.00
59.51%
-0.01
415.74%
-0.01
22.24%
0.00
115.58%
-0.00
290.56%
0.00
144.20%
-0.01
621.78%
-0.00
88.35%
0.01
1,056.00%
return on capital employed
0.00
-
0.01
666.09%
-0.00
127.11%
-0.00
36.26%
0.01
365.24%
0.00
45.37%
0.00
34.78%
-0.01
222.00%
0.00
115.10%
0.01
1,280.42%
return on equity
-0.11
-
-0.04
59.14%
-0.18
296.49%
-0.13
28.59%
0.02
114.97%
-0.04
294.48%
0.02
140.75%
-0.08
652.73%
-0.01
86.54%
0.09
931.83%
total debt to capitalization
0.65
-
0.63
4.33%
0.30
52.12%
0.39
30.36%
0.44
12.58%
0.36
19.02%
0.33
8.51%
0.30
7.39%
0.31
3.03%
0.28
8.86%

All numbers in EUR (except ratios and percentages)