Davide Campari-Milano SpA (EUR)
CPR
Overview
Key Information
Legal Documents
Financials

Overview

SectorConsumer Defensive
Industry-
Day Range6.90 | 7.02
52-Wk Range- | -
Last Close6.97
Mkt Cap (m)7,998.54
Dividend yield0.79
ISINIT0005252207
Volume1,423,168.00
Exchange VenueMIL

Company Profile

Davide Campari-Milano SpA is a part of the beverage industry. Its products include alcoholic and non-alcoholic beverages such as spirits, wines and soft drinks.

Key Information
Price/Earning30.09
Price/Book3.35
Price/Sales4.36
P/CF22.03
Rev Growth (3 year avg)2.19
EPS Growth (3 year avg)0.21
Operating Margin % 21.54
Net Margin %16.74
Return on Equity13.55
Debt/Equity0.55

Documents

Annual Report
en 31/12/2019

Financials

Income Statement
EUR201420152016201720182019
Revenue (m)1,560.001,656.801,726.501,816.001,711.701,842.50
Operating Income (m)298.20332.80354.50378.80381.00396.80
Net Income (m)128.90175.40166.30356.40296.30308.40
Basic EPS0.110.150.150.310.260.27
Avg. Diluted Shares Outstanding (m)1,164.691,156.111,158.251,180.021,179.921,169.86
Balance Sheet
EUR201420152016201720182019
Current Assets (m)1,094.201,762.401,275.001,393.701,557.401,717.00
Non Current Assets (m)2,423.702,461.503,259.303,025.503,024.903,123.60
Total Assets (m)3,517.704,224.004,534.304,419.104,582.504,840.70
Current Liabilities (m)510.60850.00542.60465.10658.901,152.60
Total Liabilities (m)------
Total Equity (m)1,574.801,745.501,900.001,942.602,162.802,389.70
Cash Flows
EUR201420152016201720182019
Operating Cash Flows (m)283.30305.20395.40311.20329.50363.00
Capital Expenditure (m)-61.60-54.40-63.90-86.00-82.80-92.00
Figures are quoted in EUR unless stated otherwise
-0.05 (-0.75%)
6.92
Last Price