AVHNY:OTCPK (Belgium) Also trade in: Austria Belgium Germany UK

Ackermans & Van Haaren NV

$ 18.1 0 (0%)
Volume: 0 Avg Vol (1m): 0
Market Cap $: 5.40 Bil Enterprise Value $: 13.17 Bil
P/E (TTM): 16.61 P/B: 1.51
Earnings Power Value -18.32
Net Current Asset Value -24.81
Tangible Book 10.01
Projected FCF 20.96
Median P/S Value 64.76
Graham Number 15.67
Peter Lynch Value 11.17
DCF (FCF Based) -3.12
DCF (Earnings Based) 16.18
YTD (-%)

Financial Strength : 5/10

Current vs industry vs history
Cash-to-Debt 0.19
Equity-to-Asset 0.22
Debt-to-Equity 2.22
Debt-to-EBITDA 8.10
Interest Coverage 5.69
Piotroski F-Score 6
0
1
2
3
4
5
6
7
8
9
Altman Z-Score 0.49
DISTRESS
GREY
SAFE
WACC vs ROIC %
ROIC 3.04%
WACC -0.51%

Profitability & Growth : 8/10

Current vs industry vs history
Operating Margin % 7.81
Net Margin % 6.50
ROE % 9.50
ROA % 2.09
ROC (Joel Greenblatt) % 16.87
3-Year Total Revenue Growth Rate 3.60
3-Year Total EBITDA Growth Rate -1.20
3-Year EPS w/o NRI Growth Rate 0.60

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Business Description

Industry Asset Management » Asset Management    NAICS : 523110    SIC : 6799
Compare XBRU:SOF NYSE:OAK TSX:CIX NYSE:JHG TSE:8473 XPAR:RF HKSE:01031 NYSE:EV LSE:INVP BSP:BPAC3 TPE:2883 NAS:CG NAS:ARCC XTER:GLJ OSTO:LATO B ASX:CGF XPAR:MF XBRU:KBCA OSL:AKER NYSE:ARES
Traded in other countries ACKB.Austria ACKB.Belgium B3K.Germany 0GYM.UK
Address Begijnenvest 113, Antwerp, BEL, 2000
Ackermans & Van Haaren NV is a global investment company with five core business segments, including marine engineering and infrastructure, private banking, real estate and senior care, energy and resources, and development capital. The company has a long-term, activist orientation focused on making investments in growth companies with international exposure. A plurality of its net profit mix is derived from its marine engineering and infrastructure segment, followed closely by its private banking division.

Ratios

Current vs industry vs history
PE Ratio (TTM) 16.61
PE Ratio without NRI 16.61
Price-to-Owner-Earnings 49.28
PB Ratio 1.51
PS Ratio 1.08
Price-to-Operating-Cash-Flow 11.23
EV-to-EBIT 20.30
EV-to-EBITDA 13.39
EV-to-Revenue 2.62
PEG Ratio 1.61
Shiller PE Ratio 20.23
Current Ratio 0.60
Quick Ratio 0.56
Days Inventory 35.55
Days Sales Outstanding 100.23
Days Payable 199.52

Dividend & Buy Back

Current vs industry vs history
3-Year Dividend Growth Rate (Per Share) 6.50
3-Year Share Buyback Rate -0.10

Valuation & Return

Current vs industry vs history
Price-to-Tangible-Book 1.81
Price-to-Projected-FCF 0.86
Price-to-DCF (Earnings Based) 1.12
N/A
Price-to-Median-PS-Value 0.28
Price-to-Peter-Lynch-Fair-Value 1.62
Price-to-Graham-Number 1.16
Earnings Yield (Joel Greenblatt) % 4.93
Forward Rate of Return (Yacktman) % 14.49

More Statistics

Revenue (TTM) (Mil) $ 5,140.85
EPS (TTM) $ 1
Beta 0.2
Volatility % 47.24
52-Week Range $ 12.3 - 19.59
Shares Outstanding (Mil) 331.63

Analyst Estimate

Piotroski F-Score Details

Piotroski F-Score 6
Positive ROA Y
Positive CFROA Y
Higher ROA yoy N
CFROA > ROA Y
Lower Leverage yoy Y
Higher Current Ratio yoy N
Less Shares Outstanding yoy Y
Higher Gross Margin yoy N
Higher Asset Turnover yoy Y