
NewMarket (NEU) | Financial Analysis & Statements
TL;DR: Financial Overview - Revenue, Profits & Key Metrics
Latest Quarterly: Mar 2025Métriques de revenus
Chiffre d'affaires
700,9M
Bénéfice brut
236,0M
33,67 %
Résultat d'exploitation
159,9M
22,81 %
Bénéfice net
125,9M
17,97 %
BPA (dilué)
13,26 $US
Métriques du bilan
Total des actifs
3,2B
Total des passifs
1,7B
Capitaux propres
1,5B
Dette sur capitaux propres
1,13
Métriques de flux de trésorerie
Flux de trésorerie d'exploitation
146,9M
Flux de trésorerie disponible
107,3M
Tendance des revenus et de la rentabilité
Compte de résultat NewMarket de 2020 à 2024
Métrique | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|
Chiffre d'affaires | 2,8B | 2,7B | 2,8B | 2,4B | 2,0B |
Coût des marchandises vendues | 1,9B | 1,9B | 2,1B | 1,8B | 1,4B |
Bénéfice brut | 886,3M | 772,5M | 640,5M | 547,7M | 595,0M |
Gross Margin % | 31.8% | 28.6% | 23.2% | 23.2% | 29.6% |
Charges d'exploitation | |||||
Research & Development | 124,9M | 138,0M | 140,3M | 144,0M | 140,4M |
Selling, General & Administrative | 171,4M | 151,5M | 145,1M | 146,0M | 142,9M |
Other Operating Expenses | - | - | - | - | - |
Total Operating Expenses | 296,3M | 289,5M | 285,4M | 289,9M | 283,2M |
Résultat d'exploitation | 590,0M | 483,0M | 355,1M | 257,8M | 311,8M |
Operating Margin % | 21.2% | 17.9% | 12.8% | 10.9% | 15.5% |
Non-Operating Items | |||||
Interest Income | - | - | - | - | - |
Interest Expense | 57,4M | 37,4M | 35,2M | 34,2M | 26,3M |
Other Non-Operating Income | 51,4M | 43,3M | 27,8M | 24,0M | 45,8M |
Bénéfice avant impôts | 584,1M | 489,0M | 347,7M | 247,6M | 331,3M |
Impôt sur le revenu | 121,7M | 100,1M | 68,2M | 56,6M | 60,7M |
Effective Tax Rate % | 20.8% | 20.5% | 19.6% | 22.9% | 18.3% |
Bénéfice net | 462,4M | 388,9M | 279,5M | 190,9M | 270,6M |
Net Margin % | 16.6% | 14.4% | 10.1% | 8.1% | 13.5% |
Key Metrics | |||||
EBITDA | 758,4M | 604,3M | 472,8M | 366,1M | 441,6M |
EPS (Basic) | 48,22 $US | 40,44 $US | 27,77 $US | 17,71 $US | 24,64 $US |
BPA (dilué) | 48,22 $US | 40,44 $US | 27,77 $US | 17,71 $US | 24,64 $US |
Basic Shares Outstanding | 9555000 | 9615826 | 10066187 | 10779673 | 10980844 |
Diluted Shares Outstanding | 9555000 | 9615826 | 10066187 | 10779673 | 10980844 |
Tendance du compte de résultat
Bilan NewMarket de 2020 à 2024
Métrique | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|
Actifs | |||||
Actifs courants | |||||
Cash & Equivalents | 77,5M | 111,9M | 68,7M | 83,3M | 125,2M |
Short-term Investments | - | - | 0 | 375,9M | 0 |
Accounts Receivable | 345,8M | 368,2M | 384,6M | 316,7M | 284,8M |
Inventory | 505,4M | 456,2M | 631,4M | 498,5M | 401,0M |
Other Current Assets | 21,2M | 12,8M | 13,6M | 15,1M | 15,5M |
Total Current Assets | 1,0B | 1,0B | 1,2B | 1,4B | 898,1M |
Actifs non courants | |||||
Property, Plant & Equipment | 104,4M | 105,6M | 99,3M | 108,0M | 72,1M |
Goodwill | 1,1B | 248,4M | 249,7M | 251,7M | 253,9M |
Intangible Assets | 370,8M | 901,0K | 2,4M | 3,8M | 6,0M |
Long-term Investments | - | - | - | - | - |
Other Non-Current Assets | 19,4M | 13,4M | 14,7M | 15,1M | 18,6M |
Total Non-Current Assets | 2,1B | 1,3B | 1,2B | 1,2B | 1,0B |
Total des actifs | 3,1B | 2,3B | 2,4B | 2,6B | 1,9B |
Passifs | |||||
Passifs courants | |||||
Accounts Payable | 225,9M | 231,1M | 273,3M | 246,1M | 189,9M |
Short-term Debt | 15,3M | 15,1M | 15,6M | 365,1M | 13,4M |
Current Portion of Long-term Debt | - | - | - | - | - |
Other Current Liabilities | 6,2M | 16,1M | 11,6M | 7,7M | 11,7M |
Total Current Liabilities | 374,5M | 364,2M | 423,9M | 725,1M | 312,5M |
Passifs non courants | |||||
Long-term Debt | 1,0B | 718,5M | 1,1B | 867,5M | 657,2M |
Deferred Tax Liabilities | 162,9M | 58,7M | 62,0M | 89,4M | 60,0M |
Other Non-Current Liabilities | 9,6M | 14,0M | 11,6M | 11,9M | 12,3M |
Total Non-Current Liabilities | 1,3B | 867,6M | 1,2B | 1,1B | 861,6M |
Total des passifs | 1,7B | 1,2B | 1,6B | 1,8B | 1,2B |
Capitaux propres | |||||
Common Stock | 0 | 2,1M | 0 | 0 | 717,0K |
Retained Earnings | 1,4B | 1,1B | 834,4M | 844,4M | 932,3M |
Treasury Stock | - | - | - | - | - |
Other Equity | - | - | - | - | - |
Total des capitaux propres | 1,5B | 1,1B | 762,4M | 762,1M | 759,8M |
Key Metrics | |||||
Total Debt | 1,1B | 733,6M | 1,1B | 1,2B | 670,7M |
Working Capital | 655,1M | 675,4M | 768,2M | 663,1M | 585,6M |
Composition du bilan
État des flux de trésorerie NewMarket de 2020 à 2024
Métrique | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|
Activités d'exploitation | |||||
Bénéfice net | 462,4M | 388,9M | 279,5M | 190,9M | 270,6M |
Depreciation & Amortization | 117,0M | 78,0M | 82,3M | 84,3M | 84,0M |
Stock-Based Compensation | - | - | - | - | - |
Working Capital Changes | -31,4M | 143,0M | -218,4M | -114,2M | -41,0M |
Flux de trésorerie d'exploitation | 511,5M | 585,6M | 87,3M | 167,5M | 313,7M |
Activités d'investissement | |||||
Dépenses en capital | - | - | 0 | 0 | 20,0M |
Acquisitions | -681,5M | - | - | - | - |
Investment Purchases | 0 | 0 | -787,0K | -393,4M | 0 |
Investment Sales | 0 | 0 | 372,8M | 11,0M | 0 |
Flux de trésorerie d'investissement | -681,5M | 0 | 372,1M | -382,5M | 19,1M |
Activités de financement | |||||
Share Repurchases | -31,9M | -42,9M | -207,5M | -196,2M | -101,4M |
Dividendes versés | -95,9M | -85,0M | -84,3M | -85,9M | -83,4M |
Debt Issuance | 327,0M | 0 | 213,0M | 543,1M | 0 |
Debt Repayment | 0 | -361,0M | -357,1M | 0 | -44,7M |
Flux de trésorerie de financement | 185,8M | -487,6M | -439,4M | 403,1M | -276,1M |
Flux de trésorerie disponible | 462,3M | 528,5M | 52,5M | 86,4M | 190,8M |
Net Change in Cash | 15,9M | 98,0M | 20,0M | 188,1M | 56,6M |
Tendance des flux de trésorerie
Ratios financiers clés NewMarket
Ratios de valorisation
Ratio P/E (12 derniers mois)
14,68
P/E prévisionnel
28,57
Prix sur valeur comptable
4,58
Prix sur ventes
2,49
Ratio PEG
28,57
Ratios de rentabilité
Marge bénéficiaire
17,22 %
Marge d'exploitation
24,66 %
Rendement des capitaux propres
35,98 %
Rendement des actifs
12,81 %
Santé financière
Ratio de liquidité
2,84
Dette sur capitaux propres
70,09
Bêta
0,42
Données par action
BPA (12 derniers mois)
50,23 $US
Valeur comptable par action
161,06 $US
Chiffre d'affaires par action
292,82 $US
Comparaison financière avec les pairs
Entreprise | Capitalisation boursière | Ratio P/E | Ratio P/B | RCP | Marge bénéficiaire | Dette/Capitaux propres |
---|---|---|---|---|---|---|
neu | 7,0B | 14,68 | 4,58 | 35,98 % | 17,22 % | 70,09 |
Linde plc | 216,0B | 33,33 | 5,69 | 17,01 % | 20,02 % | 60,56 |
Sherwin-Williams | 85,2B | 32,15 | 20,52 | 70,22 % | 11,63 % | 329,97 |
Eastman Chemical | 8,9B | 9,83 | 1,52 | 16,03 % | 9,85 % | 86,00 |
Albemarle | 7,9B | 33,52 | 0,99 | -9,99 % | -22,39 % | 35,76 |
Axalta Coating | 6,5B | 14,58 | 3,15 | 23,15 % | 8,56 % | 161,07 |
Les données financières sont mises à jour régulièrement. Tous les chiffres sont dans la devise de déclaration de l'entreprise.