Graf Akcie VJET (Voxeljet AG). Diskuze k akciím VJET. Aktuální informace VJET.

Základní informace o společnosti Voxeljet AG (Akcie VJET)

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

Tržní kapitalizace
Hodnota podniku (EV)
Tržby
EBITDA
Zisk
Růst v tržbách Q/Q %
Růst v tržbách Y/Y %
P/E (Cena vůči ziskům)
Forward P/E
EV/Sales
EV/EBITDA
EV/EBIT
PEG
Price/Sales
P/FCF
Price/Book
Účetní hodnota na akcii
Hotovost na akcii
FCF vůči ceně %
Počet zaměstnanců
Tržba na zaměstnance
Profit margin %
Operating margin %
Gross margin %
EBIT margin %
EBITDA margin %
EPS - Zisk na akcii
EPS - Kvartální růst %
EPS - Očekávaný růst příští rok %
Return on assets %
Return on equity %
ROIC %
ROCE %
Dluhy/Equity
Čistý dluh/EBITDA
Current ratio
Quick Ratio
Volatilita
Beta
RSI
Cílová cena analytiků
Známka akcie (dle analytiků)
Insider ownership %
Institutional ownership %
Počet akcií
Procento shortovaných akcií %
Short ratio %
Dividenda
Procentuální dividenda %
Dividenda/Zisk %
Obchodovaná od
Země

Finanční výsledky akcie VJET

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

# 2020 2019 2018 2017 2016 2015
Revenue$27.554$30.717$26.198$24.719$26.721$21.48$15.52$11.2
Cost Of Goods Sold$19.517$19.916$15.625$17.08$19.04$13.07$9.35$6.37
Gross Profit$8.037$10.8$10.573$7.639$7.681$8.41$6.17$4.83
Research And Development Expenses$8.077$7.481$6.248$6.289$6.074$5.35$3.52$2.02
SG&A Expenses$15.758$15.257$13.115$10.928$13.436$8.62$5.31$1.93
Other Operating Income Or Expenses$1.342$0.645$-0.953$-2.727$1.379---
Operating Expenses$42.011$42.009$35.941$37.024$37.171$27.04$18.18$10.32
Operating Income$-14.457$-11.293$-9.743$-12.304$-10.45$-5.56$-2.66$0.88
Total Non-Operating Income/Expense$-1.472$0.955$0.198$-0.213$-0.132$-0.23$-0.46$-0.44
Pre-Tax Income$-15.929$-10.337$-9.545$-12.517$-10.582$-5.8$-3.12$0.42
Income Taxes$0.01$0.013$0.09$0.002$0.071$-0.04$0.47$0.14
Income After Taxes$-15.939$-10.35$-9.636$-12.519$-10.653$-5.76$-3.59$0.28
Other Income--------
Income From Continuous Operations$-15.939$-10.35$-9.636$-12.519$-10.653$-4.742$-3.746$0.276
Income From Discontinued Operations--------
Net Income$-15.643$-10.308$-9.618$-12.519$-10.653$-5.75$-3.6$0.27
EBITDA$-9.741$-7.152$-6.168$-9.491$-7.139$-2.72$-0.68$2.6
EBIT$-14.457$-11.293$-9.743$-12.304$-10.45$-5.56$-2.66$0.88
Basic Shares Outstanding4,8364444422
Shares Outstanding4,8364444422
Basic EPS$-3.29$-2.61$-2.59$-3.37$-2.87$-1.35$-1.65$0.15
EPS - Earnings Per Share$-3.29$-2.61$-2.59$-3.37$-2.87$-1.35$-1.65$0.15
# 2020 2019 2018 2017 2016 2015
Current Ratio1.67136.01975.74426.79837.271210.5095
Long-term Debt / Capital0.22840.25990.2720.08550.02060.0307
Debt/Equity Ratio0.63470.36950.40020.11860.03970.0317
Gross Margin29.168435.160940.357230.902528.744239.1061
Operating Margin-52.4673-36.7642-37.1904-49.7762-39.1082-25.8846
EBIT Margin-52.4673-36.7642-37.1904-49.7762-39.1082-25.8846
EBITDA Margin-35.3508-23.2842-23.5439-38.3965-26.7163-12.663
Pre-Tax Profit Margin-57.8083-33.6537-36.4354-50.6357-39.6027-27.0019
Net Profit Margin-56.7718-33.5576-36.7115-50.6446-39.8687-26.7691
Asset Turnover0.39490.3750.34580.35950.34320.1993
Inventory Turnover Ratio1.39871.67571.44921.37652.18681.8752
Receiveable Turnover4.1324.3044.54835.39437.07355.0304
Days Sales In Receivables88.334784.805180.250267.663451.601272.5582
ROE - Return On Equity-42.696-18.8575-19.4112-21.9516-15.6079-5.0037
Return On Tangible Equity-44.5066-19.4518-19.915-22.3163-16.1057-5.2127
ROA - Return On Assets-22.8409-12.637-12.718-18.206-13.6823-4.3989
ROI - Return On Investment-32.9444-13.9563-14.1304-20.0752-15.2868-4.8502
Book Value Per Share0.007711.349713.344215.330618.3482-
Operating Cash Flow Per Share2.3101-0.15991.8159-0.4007-1.6911-0.9123
Free Cash Flow Per Share0.31322.8621.8872-1.2062-0.98084.6761