Graf Akcie PKOH (Park-Ohio Holdings Corp.). Diskuze k akciím PKOH. Aktuální informace PKOH.

Základní informace o společnosti Park-Ohio Holdings Corp. (Akcie PKOH)

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

Tržní kapitalizace 299.76M
Hodnota podniku (EV) 822.4M
Tržby 1.41B
EBITDA 69.8M
Zisk 11.1M
Růst v tržbách Q/Q 53.31 %
Růst v tržbách Y/Y 2.37 %
P/E (Cena vůči ziskům) 25.90
Forward P/E 1.63
EV/Sales 0.58
EV/EBITDA 11.78
EV/EBIT 19.86
PEG 0.53
Price/Sales 0.21
P/FCF 56.65
Price/Book 0.86
Účetní hodnota na akcii 27.84
Hotovost na akcii 4.45
FCF vůči ceně 1.77 %
Počet zaměstnanců 6,500
Tržba na zaměstnance 216.954k
Profit margin -0.35 %
Operating margin 2.30 %
Gross margin 13.02 %
EBIT margin 2.94 %
EBITDA margin 4.95 %
EPS - Zisk na akcii 0.92
EPS - Kvartální růst -71.79 %
EPS - Očekávaný růst příští rok -32.69 %
Return on assets 0.85 %
Return on equity 3.28 %
ROIC 1.80 %
ROCE 4.01 %
Dluhy/Equity 2.74
Čistý dluh/EBITDA 32.11
Current ratio 2.38
Quick Ratio 1.23
Volatilita 4.70
Beta 1.30
RSI 42.35
Cílová cena analytiků 28
Známka akcie (dle analytiků) 2.00
Insider ownership 34.49 %
Institutional ownership 54.39 %
Počet akcií 12.694M
Procento shortovaných akcií 0.98 %
Short ratio 1.61 %
Dividenda 0.50
Procentuální dividenda 2.13 %
Dividenda/Zisk 54.35 %
Obchodovaná od 1978
Země United States

Finanční výsledky akcie PKOH

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

# 2020 2019 2018 2017 2016 2015
Revenue$1,618.3$1,658.1$1,412.9$1,276.9$1,463.8$1,378.7
Cost Of Goods Sold$1,358$1,386.6$1,180.1$1,075.7$1,228.6$1,144.2
Gross Profit$260.3$271.5$232.8$201.2$235.2$234.5
Research And Development Expenses------
SG&A Expenses$177.2$176.1$152.3$134.2$135.1$136.6
Other Operating Income Or Expenses-$1.9$3.3$-4$-2.2-
Operating Expenses$1,535.2$1,560.8$1,329.1$1,213.9$1,365.9$1,280.8
Operating Income$83.1$97.3$83.8$63$97.9$97.9
Total Non-Operating Income/Expense$-28.2$-25.5$-36.1$-22$-27.9$-26.1
Pre-Tax Income$54.9$71.8$47.7$41$70$71.8
Income Taxes$15.2$16.6$18.2$8.8$21.3$24.9
Income After Taxes$39.7$55.2$29.5$32.2$48.7$46.9
Other Income------
Income From Continuous Operations$39.7$55.2$29.5$32.2$48.7$46.9
Income From Discontinued Operations------
Net Income$38.6$53.6$28.6$31.7$48.1$45.6
EBITDA$117.3$133.6$115.3$92.5$126.6$121.1
EBIT$83.1$97.3$83.8$63$97.9$97.9
Basic Shares Outstanding121212121212
Shares Outstanding121313121212
Basic EPS$3.16$4.37$2.34$2.62$3.94$3.77
EPS - Earnings Per Share$3.12$4.28$2.30$2.58$3.88$3.68
# 2020 2019 2018 2017 2016 2015
Current Ratio2.37932.41082.42522.28482.44052.2061
Long-term Debt / Capital0.60930.63660.64160.65040.67750.6936
Debt/Equity Ratio1.60761.80871.85141.99072.18472.2637
Gross Margin16.084816.374216.476815.756916.067817.0088
Operating Margin5.1355.86825.93114.93386.68817.1009
EBIT Margin5.1355.86825.93114.93386.68817.1009
EBITDA Margin7.24848.05748.16057.24418.64878.7836
Pre-Tax Profit Margin3.39244.33033.3763.21094.78215.2078
Net Profit Margin2.38523.23262.02422.48263.2863.3075
Asset Turnover1.2351.3721.24761.31061.55381.4152
Inventory Turnover Ratio4.15044.36314.17294.47094.93414.7995
Receiveable Turnover6.19336.27125.8246.56847.34476.6284
Days Sales In Receivables58.93558.202862.671855.56949.695755.0664
ROE - Return On Equity11.355817.658410.243113.644122.950124.4398
Return On Tangible Equity26.361248.463633.408860.9848130.2141327.9716
ROA - Return On Assets3.02964.56762.60493.30495.16934.8142
ROI - Return On Investment4.43676.41793.67144.77047.40127.4884
Book Value Per Share27.601524.758422.986719.032317.294215.3532
Operating Cash Flow Per Share0.75310.648-2.19082.322-0.7178-0.62
Free Cash Flow Per Share0.9032-0.504-2.10582.9485-1.75-1.8346