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

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

Income Metrics

Balance Sheet Metrics

Total Assets 1.2B
Total Liabilities 898.1M
Shareholders Equity 269.6M
Debt to Equity 3.33

Cash Flow Metrics

Revenue & Profitability Trend

Teract S.A Income Statement From 2019 to 2024

Metric20242023202120202019
Revenue i911.6M902.2M867.1M855.2M1.0B
Cost of Goods Sold i506.4M520.6M464.9M471.0M698.0M
Gross Profit i405.2M381.6M402.2M384.2M315.0M
Gross Margin % i44.4%42.3%46.4%44.9%31.1%
Operating Expenses
Research & Development i-----
Selling, General & Administrative i34.5M35.2M65.4M59.0M96.9M
Other Operating Expenses i91.4M169.0M54.7M65.4M35.0M
Total Operating Expenses i125.9M204.2M120.1M124.4M131.9M
Operating Income i-12.2M-94.7M73.0M43.0M14.6M
Operating Margin % i-1.3%-10.5%8.4%5.0%1.4%
Non-Operating Items
Interest Income i--100.0K200.0K-
Interest Expense i25.5M17.0M44.2M56.2M6.2M
Other Non-Operating Income-----
Pre-tax Income i-55.7M-108.2M35.3M-4.6M12.0M
Income Tax i13.3M2.3M600.0K8.0M6.9M
Effective Tax Rate % i0.0%0.0%1.7%0.0%57.5%
Net Income i-70.0M-107.0M35.3M-12.3M-49.2M
Net Margin % i-7.7%-11.9%4.1%-1.4%-4.9%
Key Metrics
EBITDA i73.9M-27.6M127.0M115.2M93.1M
EPS (Basic) i€-0.94€-1.45€0.62€-0.24€-0.88
EPS (Diluted) i€-0.94€-1.45€0.62€-0.24€-0.88
Basic Shares Outstanding i7330894273352993557012785570127855701278
Diluted Shares Outstanding i7330894273352993557012785570127855701278

Income Statement Trend

Teract S.A Balance Sheet From 2020 to 2024

Metric20242023202220212020
Assets
Current Assets
Cash & Equivalents i26.1M22.8M25.3M57.0M102.8M
Short-term Investments i-----
Accounts Receivable i168.5M155.8M155.8M158.5M180.4M
Inventory i158.2M169.7M165.0M135.8M136.2M
Other Current Assets3.7M5.1M4.0M-200.0K
Total Current Assets i428.4M447.8M414.0M422.4M507.2M
Non-Current Assets
Property, Plant & Equipment i235.4M226.2M160.8M149.4M146.0M
Goodwill i663.0M671.5M312.9M244.0M237.9M
Intangible Assets i137.2M126.9M88.3M80.2M73.5M
Long-term Investments-----
Other Non-Current Assets300.0K600.0K---200.0K
Total Non-Current Assets i739.3M773.5M543.8M516.1M500.3M
Total Assets i1.2B1.2B957.8M938.5M1.0B
Liabilities
Current Liabilities
Accounts Payable i257.5M271.8M216.6M212.1M229.0M
Short-term Debt i123.9M205.7M116.6M93.8M162.6M
Current Portion of Long-term Debt-----
Other Current Liabilities11.7M21.5M14.8M19.1M6.4M
Total Current Liabilities i463.0M584.7M420.2M402.2M491.8M
Non-Current Liabilities
Long-term Debt i401.4M264.4M261.7M372.6M378.5M
Deferred Tax Liabilities i6.6M6.6M500.0K1.1M0
Other Non-Current Liabilities9.9M10.0M-300.0K300.0K
Total Non-Current Liabilities i435.1M297.7M281.2M394.1M403.3M
Total Liabilities i898.1M882.4M701.4M796.3M895.1M
Equity
Common Stock i700.0K700.0K700.0K17.9M17.9M
Retained Earnings i-68.9M-106.6M-34.7M-13.5M
Treasury Stock i-----
Other Equity-----
Total Shareholders Equity i269.6M338.9M256.4M142.1M112.4M
Key Metrics
Total Debt i525.3M470.1M378.3M466.4M541.1M
Working Capital i-34.6M-136.9M-6.2M20.2M15.4M

Balance Sheet Composition

Teract S.A Cash Flow Statement From 2019 to 2024

Metric20242023202120202019
Operating Activities
Net Income i-70.0M-106.9M35.4M-12.4M-49.2M
Depreciation & Amortization i-----
Stock-Based Compensation i-----
Working Capital Changes i4.8M13.1M16.4M12.7M-24.8M
Operating Cash Flow i-44.2M9.6M55.3M3.9M-80.5M
Investing Activities
Capital Expenditures i4.6M-9.8M-17.1M-25.5M-11.4M
Acquisitions i-6.3M-153.5M16.1M6.8M-180.0M
Investment Purchases i-900.0K-1.7M-1.2M-800.0K-5.1M
Investment Sales i600.0K600.0K1.3M1.0M900.0K
Investing Cash Flow i-1.8M135.6M-1.1M-18.5M-195.5M
Financing Activities
Share Repurchases i-----
Dividends Paid i-----
Debt Issuance i140.7M63.2M--172.4M
Debt Repayment i-91.3M-6.6M-2.5M-13.3M-7.2M
Financing Cash Flow i49.4M-154.7M-7.7M-13.2M165.4M
Free Cash Flow i-3.5M43.6M64.1M59.4M-42.5M
Net Change in Cash i3.4M-9.5M46.5M-27.8M-110.6M

Cash Flow Trend

Teract S.A Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) 1.02
Price to Book 0.29
Price to Sales 0.08
PEG Ratio -0.03

Profitability Ratios

Profit Margin -7.27%
Operating Margin -5.93%
Return on Equity -25.68%
Return on Assets -0.44%

Financial Health

Current Ratio 0.90
Debt to Equity 231.93
Beta 0.46

Per Share Data

EPS (TTM) €-0.92
Book Value per Share €3.17
Revenue per Share €12.72

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
tract73.7M1.020.29-25.68%-7.27%231.93
Fnac Darty S.A 861.7M32.780.581.55%0.24%167.28
Hydrogen Refueling 52.0M-1.22-32.23%-81.02%71.07
Hunyvers S.A.C.A 33.2M78.181.296.43%0.33%196.67
Passat 19.0M16.620.483.66%2.09%23.84
Upergy 7.7M86.500.540.62%0.21%51.25

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