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BEST

Created with Highcharts 6.0.4Sales and Profits (CZK mil)SalesNet Profit20002001200220032004200520062007200820092010201120122013201425050075010001250-1000100200

BEST's Cash & Cash Equivalents rose 72.0% yoy to CZK 7.60 mil in 2014

By Helgi Library - April 2, 2020

BEST's total assets reached CZK 1,474 mil at the end of 2014, down 9.91% compared to the previous year. Current as...

BEST's Cash & Cash Equivalents rose 72.0% yoy to CZK 7.60 mil in 2014

By Helgi Library - April 2, 2020

BEST's total assets reached CZK 1,474 mil at the end of 2014, down 9.91% compared to the previous year. Current as...

Profit Statement 2012 2013 2014
Sales CZK mil 834 854 854
Gross Profit CZK mil 270 211 251
EBITDA CZK mil 70.2 30.0 67.2
EBIT CZK mil 35.5 -20.3 20.9
Financing Cost CZK mil 8.14 14.5 9.74
Pre-Tax Profit CZK mil 27.4 -34.8 11.2
Net Profit CZK mil 21.6 -29.2 7.54
Dividends CZK mil ... ... ...
Balance Sheet 2012 2013 2014
Total Assets CZK mil 1,535 1,636 1,474
Non-Current Assets CZK mil 1,217 1,376 1,205
Current Assets CZK mil 317 254 239
Working Capital CZK mil 96.7 52.6 119
Shareholders' Equity CZK mil 996 967 974
Liabilities CZK mil 539 669 499
Total Debt CZK mil 233 357 266
Net Debt CZK mil 229 352 259
Ratios 2012 2013 2014
ROE % 2.20 -2.98 0.777
ROCE % 1.69 -2.13 0.548
Gross Margin % 32.3 24.7 29.3
EBITDA Margin % 8.41 3.51 7.87
EBIT Margin % 4.26 -2.38 2.45
Net Margin % 2.59 -3.42 0.883
Net Debt/EBITDA 3.26 11.7 3.85
Net Debt/Equity 0.230 0.365 0.266
Cost of Financing % 4.01 4.90 3.13
Cash Flow 2012 2013 2014
Total Cash From Operations CZK mil 58.2 63.8 -12.1
Total Cash From Investing CZK mil -46.7 -69.5 106
Total Cash From Financing CZK mil -57.7 8.89 -109
Net Change In Cash CZK mil -46.2 3.11 -15.2
Cash Conversion Cycle days 55.5 23.0 63.0
Cash Earnings CZK mil 56.3 21.1 53.9
Free Cash Flow CZK mil 11.5 -5.78 93.6

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