Graf Akcie CAMT (Camtek Ltd). Diskuze k akciím CAMT. Aktuální informace CAMT.

Základní informace o společnosti Camtek Ltd (Akcie CAMT)

Skvělé pro velmi rychlou analýzu společnosti. Investor může porovnat různé ukazatele s konkurenčními firmami.

Tržní kapitalizace 1.71B
Hodnota podniku (EV) N/A
Tržby 213.482M
EBITDA N/A
Zisk 42.702M
Růst v tržbách Q/Q 82.30 %
Růst v tržbách Y/Y 60.69 %
P/E (Cena vůči ziskům) 66.45
Forward P/E 0.60
EV/Sales 7.15
EV/EBITDA N/A
EV/EBIT 36.82
PEG 0.86
Price/Sales 8.03
P/FCF 147.15
Price/Book 7.54
Účetní hodnota na akcii 5.11
Hotovost na akcii 4.00
FCF vůči ceně 2.39 %
Počet zaměstnanců 0
Tržba na zaměstnance N/A
Profit margin 13.97 %
Operating margin 21.45 %
Gross margin 46.99 %
EBIT margin 21.45 %
EBITDA margin 17.92 %
EPS - Zisk na akcii 0.58
EPS - Kvartální růst 137.50 %
EPS - Očekávaný růst příští rok 127.78 %
Return on assets 14.96 %
Return on equity 19.36 %
ROIC 9.19 %
ROCE 17.42 %
Dluhy/Equity 0.27
Čistý dluh/EBITDA N/A
Current ratio 3.79
Quick Ratio 3.12
Volatilita 3.83
Beta 1.92
RSI 42.23
Cílová cena analytiků 21
Známka akcie (dle analytiků) 1.00
Insider ownership 39.52 %
Institutional ownership 33.32 %
Počet akcií 43.296M
Procento shortovaných akcií 2.63 %
Short ratio 4.45 %
Dividenda 0.00
Procentuální dividenda 0.00 %
Dividenda/Zisk 0.00 %
Obchodovaná od 2000
Země Israel

Finanční výsledky akcie CAMT

Finanční výsledky společnosti, napoví investorovi, zda se jedná o kvalitní společnost.

# 2020 2019 2018 2017 2016 2015
Revenue$48.619$134.019$123.174$93.485$79.228$99.275
Cost Of Goods Sold$25.313$69.235$62.378$47.966$46.738$56.149
Gross Profit$23.306$64.784$60.796$45.519$32.49$43.126
Research And Development Expenses$5.623$16.331$14.581$13.534$12.63$14.86
SG&A Expenses$9.658$26.481$26.182$22.022$21.9$23.587
Other Operating Income Or Expenses---$-13$4.059$-14.738
Operating Expenses$40.594$112.047$103.141$96.522$77.209$109.334
Operating Income$8.025$21.972$20.033$-3.037$2.019$-10.059
Total Non-Operating Income/Expense$-0.183$0.801$0.728$-0.15$-0.847$-1.877
Pre-Tax Income$7.842$22.773$20.761$-3.187$1.172$-11.936
Income Taxes$0.176$1.95$2.03$-4.875$0.303$-1.823
Income After Taxes$7.666$20.823$18.731$1.688$0.869$-10.113
Other Income------
Income From Continuous Operations$7.666$20.823$18.731$1.688$0.869$-10.113
Income From Discontinued Operations-$1.163-$12.274$3.865-
Net Income$7.666$21.986$18.731$13.962$4.734$-10.113
EBITDA$8.025$24.106$21.999$-0.915$3.98$-7.999
EBIT$8.025$21.972$20.033$-3.037$2.019$-10.059
Basic Shares Outstanding413836353533
Shares Outstanding423837363533
Basic EPS$0.19$0.58$0.52$0.40$0.13$-0.30
EPS - Earnings Per Share$0.18$0.57$0.51$0.39$0.13$-0.30
# 2020 2019 2018 2017 2016 2015
Current Ratio4.67323.08113.27812.71612.25193.0098
Long-term Debt / Capital------
Debt/Equity Ratio------
Gross Margin48.339449.357848.691241.008243.44146.4473
Operating Margin16.394716.264-3.24872.5483-10.13255.8157
EBIT Margin16.394716.264-3.24872.5483-10.13255.8157
EBITDA Margin17.98717.8601-0.97885.0235-8.05748.274
Pre-Tax Profit Margin16.992416.855-3.40911.4793-12.02324.4342
Net Profit Margin16.405115.206914.9355.9752-10.18693.7786
Asset Turnover0.78660.87020.8270.75060.85390.9151
Inventory Turnover Ratio2.90872.07172.24812.80762.03451.9186
Receiveable Turnover4.26233.89254.03773.59053.60193.8663
Days Sales In Receivables85.634893.770390.3979101.6571101.33694.4066
ROE - Return On Equity15.277118.47112.00231.1845-14.8285.0767
Return On Tangible Equity15.332318.55822.01391.1929-15.00295.276
ROA - Return On Assets12.222313.23311.49330.8232-8.69823.4576
ROI - Return On Investment15.277118.47112.00231.1845-14.8285.0767
Book Value Per Share3.52662.78262.35272.07551.92942.1555
Operating Cash Flow Per Share0.18390.41140.5359-0.5362-0.14910.0403
Free Cash Flow Per Share0.21010.43980.4851-0.5192-0.18420.0836