Per Aarsleff Holding A/S B
Per Aarsleff Holding A/S B
-0,23 %
221,50 DKK
-0,50
Kurs
221,50
Hög
224,50
Förändring
-0,23 %
Låg
220,00
Uppdaterad
2019-07-19
Öppen
222,00
Factsheet for Per Aarsleff Holding A/S B
Company Profile
Description
Per Aarsleff Holding A/S contracts, plans and implements projects in infrastructure, climate change adaptation, environment, energy, construction, and collaboration. It has Construction, Pipe technologies, and Ground engineering segments. Construction segment consists construction, shell structures, building construction and international projects. Pipe technologies segment covers utility companies, housing, industry, export, and manufacturing. Ground engineering segment comprises ground engineering, pile factories, and engineering. Revenue is derived from finished and in progress contract work and sale of goods for resale and finished goods.
Key Stats
Website: http://www.aarsleff.com
Headquarter country: Denmark
Employees: 4 019
Market Cap (at close 19-07-2019): DKK 4B
Fiscal Year Ends: september
Stats

Stats 2018 2017 2016 2015 2014
Price/Earnings 12,10 14,80 10,70 12,50 10,40
Forward Price/Earnings 11,60
Price/Free Cash Flow 14,20 47,90 47,80 34,20 2 524,10
Return on Assets 4,60 4,00 4,80 6,70 5,30
Return on Equity 12,20 10,30 12,70 17,40 13,90
Return on Invested Capital 10,40 8,70 10,40 14,00 10,60
Dividend


Dividend/Share:4,00
Ex. Dividend Date:2018-09-30
Trailing Dividend Yield:2,26
Payout Ratio:29,12
Date Currency Amount
2019-03-31 DKK 5,00
2018-03-31 DKK 4,00
2017-03-31 DKK 4,00
2016-03-31 DKK 3,00
2015-03-31 DKK 1,50
2014-03-31 DKK 1,00
Income Statement

Revenue 2018 2017 2016 2015 2014
Total Revenue 12 108,26 11 188,26 10 419,56 10 253,88 8 522,36
Gross Profit 1,42 1,26 1,25 1,22 1,04
Gross Margin % 11,73% 11,26% 12,01% 11,88% 12,15%
Operating Expenses 2018 2017 2016 2015 2014
EBITDA 859,00 733,00 731,00 767,00 625,00
Net income 340,00 268,00 302,00 367,00 254,00
Basic Earnings Per Share 16,68 13,20 14,80 17,98 12,46
Operating Income 0,47 0,38 0,42 0,49 0,35
Operating Margin % 3,89% 3,40% 4,01% 4,75% 4,11%
Cash Flow

Cash Flow 2018 2017 2016 2015 2014
Operating Cash Flow 765,00 493,00 430,00 1 124,00 612,00
Capital Expenditures -476,00 -558,00 -653,00 -418,00 -302,00
Free Cash Flow 289,00 -66,00 -223,00 707,00 310,00
Balance Sheet

Assets 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Current Assets
Long Term Assets
Total Assets
Liabilities 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Total Current Liabilities
Long Term Liabilities
Total Liabilities
Equity 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Retained Earnings
Treasury Stock
Total Stockholder Equity
Net Tangible Assets