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Aalberts Industries N.V. (AALBF)
OTHER OTC:AALBF

Aalberts Industries N.V. Financial Statements

Aalberts Industries N.V. Financial Overview

Aalberts Industries N.V.'s market cap is currently ―. The company's EPS TTM is €3.828; its P/E ratio is 10.84; and it has a dividend yield of 2.48%. Aalberts Industries N.V. is scheduled to report earnings on February 23, 2023, and the estimated EPS forecast is €1.32. See an overview of income statement, balance sheet, and cash flow financials.
Dec 21Dec 20Dec 19Dec 18Dec 17
Income Statement
Total Revenue€ 2.98B€ 2.61B€ 2.84B€ 2.76B€ 2.69B
Gross Profit€ 1.57B€ 1.61B€ 1.78B€ 1.45B€ 1.41B
EBIT€ 507.40M€ 184.40M€ 322.90M€ 325.20M€ 296.10M
EBITDA€ 707.40M€ 376.30M€ 495.40M€ 457.80M€ 416.70M
Net Income Common Stockholders€ 360.10M€ 117.30M€ 225.70M€ 238.20M€ 204.50M
Balance Sheet
Cash, Cash Equivalents and Short-Term Investments€ 40.90M€ 43.50M€ 53.70M€ 55.80M€ 58.50M
Total Assets€ 3.66B€ 3.26B€ 3.47B€ 3.15B€ 2.91B
Total Debt€ 508.90M€ 589.10M€ 645.20M€ 693.70M€ 725.90M
Net Debt€ 468.00M€ 545.60M€ 591.50M€ 637.90M€ 667.40M
Total Liabilities€ 1.47B€ 1.45B€ 1.63B€ 1.47B€ 1.40B
Stockholders Equity€ 1.37B€ 1.49B€ 1.65B€ 1.77B€ 1.81B
Cash Flow
Free Cash Flow€ 134.90M€ 259.60M€ 224.80M€ 185.70M€ 215.80M
Operating Cash Flow€ 291.70M€ 377.60M€ 377.80M€ 321.80M€ 336.20M
Investing Cash Flow€ -47.40M€ -122.80M€ -263.60M€ -246.00M€ -158.00M
Financing Cash Flow€ -265.80M€ -262.00M€ -123.70M€ -48.80M€ -49.70M
Currency in EUR

Aalberts Industries N.V. Earnings and Revenue History


Aalberts Industries N.V. Debt to Assets


Aalberts Industries N.V. Cash Flow


Aalberts Industries N.V. Forecast EPS vs Actual EPS


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