CTT-Correios de Portugal SA (EUR)
CTT
Overview
Key Information
Legal Documents
Financials

Overview

SectorIndustrials
Industry-
Day Range2.09 | 2.13
52-Wk Range- | -
Last Close2.11
Mkt Cap (m)315.75
Dividend yield-
ISINPTCTT0AM0001
Volume529,749.00
Exchange VenueLIS

Company Profile

CTT-Correios de Portugal SA and its subsidiaries establish, manage and operate Universal postal services infrastructure. The Company's operating areas include; Mail, Express & Parcels, Financial services and Business solutions.

Key Information
Price/Earning11.08
Price/Book2.34
Price/Sales0.44
P/CF1.06
Rev Growth (3 year avg)2.32
EPS Growth (3 year avg)-0.23
Operating Margin % 7.74
Net Margin %4.07
Return on Equity21.02
Debt/Equity1.34

Documents

Annual Report
en 31/12/2019

Please refer to the below issuer website for further documents.

https://www.ctt.pt

Financials

Income Statement
EUR201420152016201720182019
Revenue (m)703.28705.17669.69679.40693.81717.34
Operating Income (m)157.30105.2977.8332.2433.9255.50
Net Income (m)77.1772.0762.1627.2619.6229.20
Basic EPS0.510.480.420.180.130.19
Avg. Diluted Shares Outstanding (m)150.00149.88149.53149.95150.00150.00
Balance Sheet
EUR201420152016201720182019
Current Assets (m)830.52764.57864.08930.29742.39778.78
Non Current Assets (m)350.48354.91452.62678.471,026.421,734.66
Total Assets (m)1,181.001,119.471,316.701,608.771,768.812,513.44
Current Liabilities (m)617.39574.97813.841,142.041,333.781,869.19
Total Liabilities (m)------
Total Equity (m)249.53251.66233.41183.84146.59131.17
Cash Flows
EUR201420152016201720182019
Operating Cash Flows (m)------
Capital Expenditure (m)-7.52-27.94-29.51-31.22-28.41-36.27
Figures are quoted in EUR unless stated otherwise
0.01 (0.48%)
2.12
Last Price