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CEWE Stiftung and Co KGaA

CEWE Stiftung and Co KGaA (CWC)

92.90
0.80
(0.87%)
Closed July 09 3:00PM
Year End December 31 2025 20182019202020212022202320242025
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Return on Assets (%) 8.147.268.717.427.798.268.778.35
Return on Equity (%) 15.9612.1018.2015.3614.6215.8614.7813.23
Return on Invested Capital (%) 14.7512.7214.9312.1111.9512.6413.4312.65
Operating Margin (%) 8.728.3111.4110.4010.3410.8911.4811.06
Net Profit Margin (%) 5.544.377.136.996.887.277.116.59
Book Value Per Share 35.3937.3841.7546.7051.2555.6661.3266.66
Earnings Per Share 5.064.407.206.777.208.108.648.46
Cash Per Share 3.914.5714.2611.7410.3216.7821.7421.98
Working Capital Per Share 0.40-1.863.168.258.5311.9414.1116.48
Operating Profit Per Share 7.968.3611.5310.1210.8512.2814.0414.31
EBIT Per Share 7.968.3611.5310.1210.8512.2814.0414.31
EBITDA Per Share 7.968.3611.5310.1210.8512.2814.0414.31
Free Cash Flow Per Share 4.709.3114.393.765.3611.0110.886.32

Liquidity Ratios

Year End December 31 2025 20182019202020212022202320242025
Current Ratio 1.020.931.101.331.311.411.441.51
Quick Ratio 0.730.670.860.990.971.081.121.14
Inventory Turnover (Days) 102.3195.29106.34122.15117.00116.81119.31123.52
Shares Outstanding 7.18M7.21M7.21M7.19M7.08M6.99M6.91M6.8M

Key Stats and Ratios

Year End December 31 2025 Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Shares Outstanding 6.96MN/A6.91M7.44M6.86MN/A6.8M9.36M
Return on Assets (%) -1.250.0235.802.28-1.62-0.1635.622.03
Return on Equity (%) -1.72-0.1354.315.80-2.70-0.4852.764.96
Return on Invested Capital (%) -1.680.0352.093.26-2.16-0.2150.882.84
Operating Margin (%) -1.870.0325.423.51-2.53-0.2225.593.17
Net Profit Margin (%) -1.08-0.0714.963.53-1.78-0.2715.073.17
Sales Per Share 21.93N/A52.1023.3922.89N/A54.9118.91
Book Value Per Share 53.46N/A61.3257.0058.64N/A66.6648.37
Earnings Per Share -0.24N/A7.790.60-0.41N/A8.280.60
Cash Per Share 6.88N/A21.7414.729.87N/A21.989.26
Working Capital Per Share 8.90N/A14.1114.1310.93N/A16.4810.72
Operating Profit Per Share -0.41N/A13.250.82-0.58N/A14.050.60
EBIT Per Share -0.41N/A13.250.82-0.58N/A14.050.60
EBITDA Per Share -0.41N/A13.250.82-0.58N/A14.050.60
Free Cash Flow Per Share -1.99N/AN/AN/A-2.62N/AN/AN/A
Current Ratio 1.541.441.441.851.581.511.511.84
Quick Ratio 0.990.881.121.341.050.961.141.23
Inventory Turnover (Days) 137.69135.8388.35134.35141.09139.0596.04149.86

Key Stats and Ratios

Market Cap 625.811M
Price to Earnings Ratio 10.89
Price to Sales Ratio 0.72
Price to Cash Ratio 9.26
Price to Book Ratio 1.95
Dividend Yield 3.28%

Share Statistics

Shares Outstanding 6.74M
Average Volume (1 week) 1.24k
Average Volume (1 Month) 1.17k
52 Week Change -
52 Week High 106.40
52 Week Low 89.10
More Ratios Coming Soon!