Brdr.Hartmann A/S
Brdr.Hartmann A/S
-0,90 %
332,00 DKK
-3,00
Kurs
332,00
Hög
336,00
Förändring
-0,90 %
Låg
332,00
Uppdaterad
2019-07-19
Öppen
334,00
Factsheet for Brdr.Hartmann A/S
Company Profile
Description
Broedrene Hartmann A/S is a Denmark-based company engaged in the manufacture of molded-fiber packaging that is used for eggs. It makes the packaging from recycled papers, and the product line includes packaging for eggs, fruit, consumer electronics, and domestic appliances. Its activities are divided into two geographical segments. The Europe segment, which is the key revenue generator, comprises of the production and sale of molded-fiber packaging in Europe. The America segment includes the production and sale activities in America. The business of the group is operated in various regions which include Denmark, Other Europe, North and South America among others.
Key Stats
Website: https://www.hartmann-packaging.com
Headquarter country: Denmark
Employees: 1 500
Market Cap (at close 19-07-2019): DKK 2B
Fiscal Year Ends: december
Stats

Stats 2018 2017 2016 2015 2014
Price/Earnings 19,00 16,20 11,00 22,60 11,60
Forward Price/Earnings 12,00
Price/Free Cash Flow 9,90 33,10 23,30 463,60
Return on Assets 5,20 6,40 9,50 7,50 10,00
Return on Equity 12,70 16,10 25,50 17,60 18,70
Return on Invested Capital 7,30 9,20 14,80 12,30 14,50
Dividend


Dividend/Share:9,50
Ex. Dividend Date:2018-12-31
Trailing Dividend Yield:2,86
Payout Ratio:87,16
Date Currency Amount
2018-06-30 DKK 9,50
2017-03-31 DKK 9,50
2016-06-30 DKK 9,50
2015-06-30 DKK 9,50
2014-06-30 DKK 9,50
2013-06-30 DKK 9,50
Income Statement

Revenue 2018 2017 2016 2015 2014
Total Revenue 2 207,10 2 207,30 2 096,10 2 133,40 1 614,60
Gross Profit 0,64 0,66 0,67 0,69 0,51
Gross Margin % 28,89% 29,74% 31,86% 32,19% 31,59%
Operating Expenses 2018 2017 2016 2015 2014
EBITDA 288,00 325,00 358,00 226,00 215,00
Net income 96,00 122,00 175,00 111,00 119,00
Basic Earnings Per Share 13,90 17,60 25,30 16,10 17,20
Operating Income 0,18 0,23 0,25 0,16 0,16
Operating Margin % 8,24% 10,57% 11,86% 7,41% 10,09%
Cash Flow

Cash Flow 2018 2017 2016 2015 2014
Operating Cash Flow 264,00 258,00 248,00 221,00 141,00
Capital Expenditures -129,00 -208,00 -340,00 -187,00 -99,00
Free Cash Flow 136,00 49,00 -91,00 34,00 42,00
Balance Sheet

Assets 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Current Assets 712,90 724,10 731,40 784,30 553,20 467,40
Long Term Assets 1 121,00 1 141,00 1 211,00 936,00 690,70 658,40
Total Assets 1 833,90 1 865,10 1 942,40 1 720,30 1 243,90 1 125,80
Liabilities 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Total Current Liabilities 396,00 439,90 476,90 462,50 286,20 257,40
Long Term Liabilities 679,30 694,90 660,00
Total Liabilities 1 119,20 1 171,80 1 122,50
Equity 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Retained Earnings 741,70 701,70 651,30 544,30 507,90 465,90
Treasury Stock
Total Stockholder Equity 765,00 745,90 770,60 597,80 662,70 611,90
Net Tangible Assets 666,20 644,50 655,10 496,70 652,00 599,70