Showroomprivé S.A. | Small-cap | Consumer Cyclical

TL;DR: Financial Overview - Revenue, Profits & Key Metrics

Latest Quarterly: Jun 2019

Income Metrics

EPS (Diluted) €0.00

Balance Sheet Metrics

Total Assets 432.9M
Total Liabilities 230.1M
Shareholders Equity 202.8M
Debt to Equity 1.13

Cash Flow Metrics

Revenue & Profitability Trend

Showroomprivé S.A Income Statement From 2019 to 2023

Metric20232022202120202019
Revenue i677.2M657.4M723.8M697.5M615.6M
Cost of Goods Sold i418.3M412.7M435.8M424.5M428.0M
Gross Profit i258.8M244.7M288.1M273.0M187.5M
Gross Margin % i38.2%37.2%39.8%39.1%30.5%
Operating Expenses
Research & Development i-----
Selling, General & Administrative i250.7M240.5M255.9M247.6M237.0M
Other Operating Expenses i2.3M601.0K1.6M2.3M9.8M
Total Operating Expenses i253.0M241.1M257.5M249.9M246.9M
Operating Income i4.3M2.9M28.9M21.7M-59.7M
Operating Margin % i0.6%0.4%4.0%3.1%-9.7%
Non-Operating Items
Interest Income i---31.0K-
Interest Expense i1.9M999.0K1.1M905.0K591.0K
Other Non-Operating Income-----
Pre-tax Income i989.0K688.0K27.8M20.8M-69.1M
Income Tax i497.0K369.0K515.0K6.9M1.3M
Effective Tax Rate % i50.3%53.6%1.9%33.2%0.0%
Net Income i492.0K319.0K27.3M13.9M-70.5M
Net Margin % i0.1%0.0%3.8%2.0%-11.4%
Key Metrics
EBITDA i20.3M17.4M45.0M36.2M-41.6M
EPS (Basic) i€0.00€0.00€0.23€0.17€-1.39
EPS (Diluted) i€0.00€0.00€0.23€0.16€-1.39
Basic Shares Outstanding i1148152431172680191185520308171051050661936
Diluted Shares Outstanding i1148152431172680191185520308171051050661936

Income Statement Trend

Showroomprivé S.A Balance Sheet From 2019 to 2023

Metric20232022202120202019
Assets
Current Assets
Cash & Equivalents i70.6M83.5M99.6M130.8M49.0M
Short-term Investments i-----
Accounts Receivable i25.5M20.2M12.9M7.2M13.1M
Inventory i89.9M78.7M62.6M60.9M48.4M
Other Current Assets----1.0K-
Total Current Assets i218.4M224.7M220.4M265.7M164.1M
Non-Current Assets
Property, Plant & Equipment i71.3M73.4M52.3M49.2M67.0M
Goodwill i313.0M314.1M296.5M298.7M301.8M
Intangible Assets i53.2M54.3M49.2M51.3M54.5M
Long-term Investments-----
Other Non-Current Assets---2.0K1.0K
Total Non-Current Assets i214.5M223.8M216.5M215.1M224.3M
Total Assets i432.9M448.5M436.9M480.8M388.4M
Liabilities
Current Liabilities
Accounts Payable i39.1M51.3M47.5M43.3M32.9M
Short-term Debt i15.7M15.2M12.9M39.6M58.1M
Current Portion of Long-term Debt-----
Other Current Liabilities6.0M1.9M1.5M6.0K1.2M
Total Current Liabilities i202.2M203.4M177.2M222.9M215.4M
Non-Current Liabilities
Long-term Debt i26.7M42.8M54.3M80.3M20.3M
Deferred Tax Liabilities i0029.0K077.0K
Other Non-Current Liabilities4.0K----
Total Non-Current Liabilities i28.0M43.5M54.6M80.9M20.8M
Total Liabilities i230.1M247.0M231.8M303.8M236.2M
Equity
Common Stock i4.8M4.8M4.7M4.7M2.0M
Retained Earnings i492.0K319.0K27.3M13.9M-70.5M
Treasury Stock i6.3M5.9M1.7M1.5M1.8M
Other Equity-----
Total Shareholders Equity i202.8M201.5M205.1M177.0M152.2M
Key Metrics
Total Debt i42.3M58.0M67.3M119.9M78.4M
Working Capital i16.3M21.3M43.2M42.8M-51.3M

Balance Sheet Composition

Showroomprivé S.A Cash Flow Statement From 2019 to 2023

Metric20232022202120202019
Operating Activities
Net Income i492.0K319.0K27.3M13.9M-70.5M
Depreciation & Amortization i-----
Stock-Based Compensation i1.5M735.0K938.0K1.4M388.0K
Working Capital Changes i0-14.7M11.2M-19.1M58.3M
Operating Cash Flow i2.2M-12.6M40.5M-2.9M-11.2M
Investing Activities
Capital Expenditures i-8.8M-8.8M--9.0M-13.8M
Acquisitions i0-6.5M00-22.3M
Investment Purchases i-----
Investment Sales i-----
Investing Cash Flow i-7.1M-15.3M0-9.0M-36.1M
Financing Activities
Share Repurchases i-----44.0K
Dividends Paid i-----
Debt Issuance i-049.7M85.0M35.8M
Debt Repayment i-13.5M-13.1M-103.0M-43.2M-4.3M
Financing Cash Flow i-14.0M-17.2M-53.5M51.2M31.5M
Free Cash Flow i1.4M9.5M24.1M30.6M-42.7M
Net Change in Cash i-18.8M-45.2M-13.0M39.4M-15.9M

Cash Flow Trend

Showroomprivé S.A Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) 19.17
Forward P/E 23.30
Price to Book 0.30
Price to Sales 0.08
PEG Ratio 23.30

Profitability Ratios

Profit Margin -6.14%
Operating Margin -8.92%
Return on Equity -21.71%
Return on Assets -5.40%

Financial Health

Current Ratio 0.82
Debt to Equity 22.59
Beta 1.42

Per Share Data

EPS (TTM) €-0.15
Book Value per Share €1.58
Revenue per Share €5.90

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
srp53.5M19.170.30-21.71%-6.14%22.59
Vente-Unique.com 149.5M20.003.5118.74%4.04%28.28
Cnova N.V 32.2M-0.34-0.0615.61%-9.06%-1.32
Kumulus Vape 14.5M5.220.8717.19%4.35%25.20
Pet Service Holding 10.6M105.00-8.88%34.70%3.61
Spartoo S.A 6.9M47.400.23-7.56%-1.79%79.67

Financial data is updated regularly. All figures are in the company's reporting currency.