Fomento de Construcciones y Contratas, S.A.
Financial ratios & Valuation

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-3.96-5.84-3.424.032.552.161.391.111.511.231.872.16
Price/Sales ratio
0.450.040.090.080.100.090.050.090.090.080.650.10
Price/Book Value ratio
10.561.100.700.550.380.290.160.210.210.160.170.29
Price/Cash Flow ratio
4.710.780.760.791.760.910.600.860.460.920.830.91
Price/Free Cash Flow ratio
13.3644.361.311.478.801.901.851.800.78-11.0423.848.80
Price/Earnings Growth ratio
0.050.08-0.02-0.020.020.47-0.320.00-0.070.060.840.02
Dividend Yield
0.16%5.55%2.10%3.46%0.98%12.41%9.99%9.74%10.13%2.66%37.45%0.98%
Profitability Indicator Ratios
Gross Profit Margin
65.35%25.86%27.56%25.96%25.75%63.74%63.44%63.41%62.31%60.09%59.05%25.75%
Operating Profit Margin
-5.45%2.67%7.02%7.34%7.49%8.15%9.30%12.04%7.92%10.08%8.61%7.49%
Pretax Profit Margin
-12.92%-0.63%-3.65%2.57%4.86%7.79%6.98%12.12%7.14%10.14%8.43%4.86%
Net Profit Margin
-11.43%-0.71%-2.71%2.03%4.2%4.24%4.25%8.71%6.20%6.54%6.66%4.2%
Effective Tax Rate
7.83%99.49%-16.07%39.90%27.00%30.48%20.06%16.12%13.20%18.68%16.54%30.48%
Return on Assets
-5.16%-0.35%-1.50%1.13%2.39%2.12%2.04%4.07%3.12%3.53%2.47%2.39%
Return On Equity
-266.59%-18.88%-20.48%13.70%14.93%13.66%11.45%19.29%14.10%13.28%12.80%13.66%
Return on Capital Employed
-4.14%2.13%5.60%6.20%5.96%5.51%6.78%8.01%5.55%7.08%4.50%5.51%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A1.87N/A
Quick Ratio
0.970.870.980.921.071.041.140.971.011.281.791.07
Cash ratio
0.260.280.340.350.420.360.270.360.360.410.250.36
Days of Sales Outstanding
115.88119.99103.69108.1484.1487.5197.86101.1395.722.47142.2884.14
Days of Inventory outstanding
106.0149.3149.2448.4056.7196.86112.41155.41133.27111.2558.7056.71
Operating Cycle
221.90169.30152.93156.54140.86184.37210.27256.55228.99113.73200.98140.86
Days of Payables Outstanding
233.7594.5791.1994.8692.45185.72171.16160.61154.92126.94149.0192.45
Cash Conversion Cycle
-11.8574.7361.7461.6848.41-1.3439.1195.9474.07-13.2151.9648.41
Debt Ratios
Debt Ratio
0.490.540.470.480.390.390.320.340.320.290.250.39
Debt Equity Ratio
25.3728.506.455.802.472.561.831.631.461.100.962.56
Long-term Debt to Capitalization
0.950.950.850.830.690.690.600.520.530.490.460.69
Total Debt to Capitalization
0.960.960.860.850.710.710.640.610.590.520.490.71
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
0.080.040.140.110.080.120.140.150.310.150.210.08
Company Equity Multiplier
51.6152.4613.6512.056.246.445.604.734.513.753.786.44
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.090.050.120.100.060.100.090.110.200.080.140.06
Free Cash Flow / Operating Cash Flow Ratio
0.350.010.580.540.200.470.320.480.59-0.080.180.47
Cash Flow Coverage Ratio
0.080.040.140.110.080.120.140.150.310.150.210.08
Short Term Coverage Ratio
0.460.241.430.761.101.120.870.451.391.322.111.10
Dividend Payout Ratio
-0.66%-32.49%-7.21%13.95%2.51%26.84%13.97%10.88%15.31%3.29%9.09%2.51%