Broedrene Hartmann A/S B (DKK)
HART
Overview
Key Information
Legal Documents
Financials

Overview

SectorConsumer Cyclical
Industry-
Day Range410.00 | 420.00
52-Wk Range- | -
Last Close416.00
Mkt Cap (m)2,876.68
Dividend yield-
ISINDK0010256197
Volume3,700.00
Exchange VenueCSE

Company Profile

Broedrene Hartmann A/S is a Denmark-based company engaged in the manufacture of molded-fiber packaging that is used primarily for eggs. The company makes the packaging from recycled papers.

Key Information
Price/Earning15.29
Price/Book3.30
Price/Sales1.19
P/CF8.76
Rev Growth (3 year avg)3.98
EPS Growth (3 year avg)-0.01
Operating Margin % 10.62
Net Margin %7.10
Return on Equity20.34
Debt/Equity0.82

Documents

Annual Report
en 31/12/2019

Please refer to the below issuer website for further documents.

https://www.hartmann-packaging.com

Financials

Income Statement
DKK201420152016201720182019
Revenue (m)1,614.602,133.402,096.102,207.302,207.102,356.40
Operating Income (m)162.90233.00248.50233.40204.30250.20
Net Income (m)118.90111.00174.70122.0096.10167.20
Basic EPS17.2016.1025.3017.6013.9024.20
Avg. Diluted Shares Outstanding (m)6.926.926.926.926.926.92
Balance Sheet
DKK201420152016201720182019
Current Assets (m)553.20784.30731.40724.10712.90783.30
Non Current Assets (m)690.70936.001,211.001,141.001,121.001,258.80
Total Assets (m)1,243.901,720.301,942.401,865.101,833.902,042.10
Current Liabilities (m)286.20462.50476.90439.90396.00432.00
Total Liabilities (m)------
Total Equity (m)662.70597.80770.60745.90765.00879.20
Cash Flows
DKK201420152016201720182019
Operating Cash Flows (m)140.90221.10248.30257.60264.40296.10
Capital Expenditure (m)-98.60-187.40-339.50-208.40-128.90-197.00
Figures are quoted in DKK unless stated otherwise
-4.00 (-0.96%)
412.00
Last Price