KAPSCH TRAFFICCOM AG

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Firmenbeschreibung

Die Kapsch Gruppe ist ein österreichisches Unternehmen, das sich auf die Entwicklung von Straßentelematik spezialisiert hat. Verwendet werden diese für Mauteinhebung, Stadtzugangsregelung, Road Safety Enforcement, Commercial Vehicle Operations, Electronic Vehicle Registration, Traffic Management und V2X Cooperative Systems. Die Produkte sind als Subsysteme kombinierbar, können aber auch als Komplettlösung erworben werden. Die Kernkompetenz liegt bei elektronischen Mautlösungen, wo von Autobahn- und Bereichsmaut über konventionelle Mautstationen bis zu Spurenmautsystemen ein breites Spektrum an Systemen geboten wird. Das Unternehmen ist mit seinen Produkten weltweit vertreten und betreibt beispielsweise das Tschechische LKW-Mautsystem.

KeyData

endOfFinancialYear: 31.03.2023 00:00
stockholderStructure: KAPSCH-Group Beteiligungs GmbH (63.3%),retail (18.2%),Institutional investors (16.7%),Miscellaneous (1.7%)
sharesOutstanding: 13000000.0000
ceo: Georg Kapsch
board: Alfredo Escriba
supervisoryBoard: Dr. Franz Semmernegg, Dr. Harald Sommerer, Monika Brodey , Sonja Hammerschmid , Christian Windisch , Robert Kutschera
countryID: 1
freeFloat: 36.7000
faceValueCurrencyID: 1
faceValueCurrency: EUR
sectorName: IT-Dienstleistungen
industryName: Technologie
subsectorName: IT Consulting und Dienstleistungen
country: Österreich
countryName: Österreich

Kontakt

name: Marcus Handl, Valerie Riegler
phone: +43-50811-1122
email: ir.kapschtraffic@kapsch.net
irWebSite: https://www.kapsch.net/ktc/investor_relations

Adresse

street: Am Europlatz 2
city: A-1120 Wien
phone: +43-50811-0
fax: +43-50811-9990
webSite: www.kapsch.net/
email: info@kapsch.net

Finanzen (kurz)

year: 2022 cash: 59.8000
balanceSheetTotal: 512.1000 liabilities: 434.2000
totalShareholdersEquity: 83.2000 sales: 519.8000
bankLoans: 32.7000 investment: 5.6000
incomeBeforeTaxes: 5.3000 netIncome: -9.3000
cashFlow: -44.3000 employees: 4220
currencyID: 1 units: 1000000
currency: EUR
year: 2023 cash: 45.2000
balanceSheetTotal: 480.1000 liabilities: 428.8000
totalShareholdersEquity: 56.3000 sales: 553.4000
investment: 5.9000 incomeBeforeTaxes: -9.9000
netIncome: -24.8000 employees: 4039
currencyID: 1 units: 1000000
currency: EUR
year: 2024 cash: 33.3700
balanceSheetTotal: 443.6900 liabilities: 360.2700
totalShareholdersEquity: 90.1200 sales: 538.8400
investment: 6.3900 incomeBeforeTaxes: 36.8700
netIncome: 23.1800 employees: 4054
currencyID: 1 units: 1000000
currency: EUR

Finanzen (kurz)

year: 2022
cash: 59.8000
balanceSheetTotal: 512.1000
liabilities: 434.2000
totalShareholdersEquity: 83.2000
sales: 519.8000
bankLoans: 32.7000
investment: 5.6000
incomeBeforeTaxes: 5.3000
netIncome: -9.3000
cashFlow: -44.3000
employees: 4220
currencyID: 1
units: 1000000
currency: EUR
year: 2023
cash: 45.2000
balanceSheetTotal: 480.1000
liabilities: 428.8000
totalShareholdersEquity: 56.3000
sales: 553.4000
investment: 5.9000
incomeBeforeTaxes: -9.9000
netIncome: -24.8000
employees: 4039
currencyID: 1
units: 1000000
currency: EUR
year: 2024
cash: 33.3700
balanceSheetTotal: 443.6900
liabilities: 360.2700
totalShareholdersEquity: 90.1200
sales: 538.8400
investment: 6.3900
incomeBeforeTaxes: 36.8700
netIncome: 23.1800
employees: 4054
currencyID: 1
units: 1000000
currency: EUR

Finanzen (ausführlich)

year: 2023 units: 1000000
balanceSheetTotal: 480.1000 cash: 45.2000
currentAssets: 297.3000 fixedAssets: 182.8000
liabilities: 313.6000 nonCurrentLiabilities: 115.3000
totalLiabilitiesEquity: 480.1000 provisions: 22.1000
totalShareholdersEquity: 56.3000 employees: 4039
property: 52.1000 intangibleAssets: 31.8000
longTermInvestments: 16.2000 inventories: 45.1000
accountsReceivable: 118.0000 accountsPayable: 75.0000
liabilitiesTotal: 428.8000 longTermDebt: 90.7000
shortTermDebt: 142.8000 minorityInterests: -5.0000
sales: 553.4000 depreciation: 21.8000
netIncome: -24.8000 operatingResult: 7.6000
incomeInterest: -16.2000 incomeTaxes: 14.4000
costGoodsSold: 222.6000 grossProfit: 330.8000
minorityInterestsProfit: -5.6000 revenuePerEmployee: 137014.1124
cashFlow: -5.8000 cashFlowInvesting: -0.1900
cashFlowFinancing: -4.5000 accountingStandard: IFRS
equityRatio: 11.7267 debtEquityRatio: 752.7531
liquidityI: 14.4133 liquidityII: 52.0408
netMargin: -4.4814 grossMargin: 59.7759
cashFlowMargin: -1.0481 ebitMargin: 1.3733
ebitdaMargin: 0.0000 preTaxROE: -17.5844
preTaxROA: -2.0621 roe: -44.0497
roa: -5.1656 netIncomeGrowth: 166.6667
revenuesGrowth: 6.4640 taxExpenseRate: -145.4545
equityTurnover: 9.8295 epsBasic: -1.9100
epsBasicGrowth: 165.2778 incomeBeforeTaxes: -9.9000
priceCashFlowRatio: -28.0172 bookValuePerShare: 4.3308
marketCap: 162500000.0000 earningsYield: -15.2800
cashFlowPerShare: -0.4462 netAssetsPerShare: 3.9462
priceBookValueRatio: 2.8863 netEarningsPerShare: -1.9077
currency: EUR
year: 2024 units: 1000000
balanceSheetTotal: 443.6900 cash: 33.3700
currentAssets: 307.9800 fixedAssets: 135.7100
liabilities: 210.0600 nonCurrentLiabilities: 150.2100
totalLiabilitiesEquity: 443.6900 provisions: 25.5000
totalShareholdersEquity: 90.1200 employees: 4054
property: 45.9500 intangibleAssets: 27.8700
longTermInvestments: 3.5900 inventories: 47.8100
accountsReceivable: 131.4700 accountsPayable: 62.9100
liabilitiesTotal: 360.2700 longTermDebt: 91.9000
shortTermDebt: 12.7500 minorityInterests: -6.6900
sales: 538.8400 depreciation: 18.2500
netIncome: 23.1800 operatingResult: 70.2500
incomeInterest: -30.1400 incomeTaxes: 14.6100
costGoodsSold: 232.7200 grossProfit: 306.1200
minorityInterestsProfit: -0.9180 revenuePerEmployee: 132915.6389
cashFlow: 61.8800 cashFlowInvesting: 43.7800
cashFlowFinancing: -111.6000 accountingStandard: IFRS
equityRatio: 20.3115 debtEquityRatio: 392.3324
liquidityI: 15.8859 liquidityII: 78.4728
netMargin: 4.3018 grossMargin: 56.8109
cashFlowMargin: 11.4839 ebitMargin: 13.0373
ebitdaMargin: 0.0000 preTaxROE: 40.9121
preTaxROA: 8.3099 roe: 25.7213
roa: 5.2244 revenuesGrowth: -2.6310
taxExpenseRate: 39.6257 equityTurnover: 5.9791
epsBasic: -1.9100 epsBasicGrowth: 0.0000
incomeBeforeTaxes: 36.8700 priceCashFlowRatio: 1.7857
bookValuePerShare: 6.9323 marketCap: 110500000.0000
earningsYield: -22.4706 cashFlowPerShare: 4.7600
netAssetsPerShare: 6.4177 priceBookValueRatio: 1.2261
priceEarningsRatio: 4.7670 netEarningsPerShare: 1.7831
currency: EUR
year: 2025 priceCashFlowRatio: 1.4916
bookValuePerShare: 6.9323 marketCap: 92299998.7602
earningsYield: -26.9014 cashFlowPerShare: 4.7600
netAssetsPerShare: 6.9323 priceBookValueRatio: 1.0242
priceEarningsRatio: 3.9819 netEarningsPerShare: 1.7831
currency: EUR

Finanzen (ausführlich)

year: 2023
units: 1000000
balanceSheetTotal: 480.1000
cash: 45.2000
currentAssets: 297.3000
fixedAssets: 182.8000
liabilities: 313.6000
nonCurrentLiabilities: 115.3000
totalLiabilitiesEquity: 480.1000
provisions: 22.1000
totalShareholdersEquity: 56.3000
employees: 4039
property: 52.1000
intangibleAssets: 31.8000
longTermInvestments: 16.2000
inventories: 45.1000
accountsReceivable: 118.0000
accountsPayable: 75.0000
liabilitiesTotal: 428.8000
longTermDebt: 90.7000
shortTermDebt: 142.8000
minorityInterests: -5.0000
sales: 553.4000
depreciation: 21.8000
netIncome: -24.8000
operatingResult: 7.6000
incomeInterest: -16.2000
incomeTaxes: 14.4000
costGoodsSold: 222.6000
grossProfit: 330.8000
minorityInterestsProfit: -5.6000
revenuePerEmployee: 137014.1124
cashFlow: -5.8000
cashFlowInvesting: -0.1900
cashFlowFinancing: -4.5000
accountingStandard: IFRS
equityRatio: 11.7267
debtEquityRatio: 752.7531
liquidityI: 14.4133
liquidityII: 52.0408
netMargin: -4.4814
grossMargin: 59.7759
cashFlowMargin: -1.0481
ebitMargin: 1.3733
ebitdaMargin: 0.0000
preTaxROE: -17.5844
preTaxROA: -2.0621
roe: -44.0497
roa: -5.1656
netIncomeGrowth: 166.6667
revenuesGrowth: 6.4640
taxExpenseRate: -145.4545
equityTurnover: 9.8295
epsBasic: -1.9100
epsBasicGrowth: 165.2778
incomeBeforeTaxes: -9.9000
priceCashFlowRatio: -28.0172
bookValuePerShare: 4.3308
marketCap: 162500000.0000
earningsYield: -15.2800
cashFlowPerShare: -0.4462
netAssetsPerShare: 3.9462
priceBookValueRatio: 2.8863
netEarningsPerShare: -1.9077
currency: EUR
year: 2024
units: 1000000
balanceSheetTotal: 443.6900
cash: 33.3700
currentAssets: 307.9800
fixedAssets: 135.7100
liabilities: 210.0600
nonCurrentLiabilities: 150.2100
totalLiabilitiesEquity: 443.6900
provisions: 25.5000
totalShareholdersEquity: 90.1200
employees: 4054
property: 45.9500
intangibleAssets: 27.8700
longTermInvestments: 3.5900
inventories: 47.8100
accountsReceivable: 131.4700
accountsPayable: 62.9100
liabilitiesTotal: 360.2700
longTermDebt: 91.9000
shortTermDebt: 12.7500
minorityInterests: -6.6900
sales: 538.8400
depreciation: 18.2500
netIncome: 23.1800
operatingResult: 70.2500
incomeInterest: -30.1400
incomeTaxes: 14.6100
costGoodsSold: 232.7200
grossProfit: 306.1200
minorityInterestsProfit: -0.9180
revenuePerEmployee: 132915.6389
cashFlow: 61.8800
cashFlowInvesting: 43.7800
cashFlowFinancing: -111.6000
accountingStandard: IFRS
equityRatio: 20.3115
debtEquityRatio: 392.3324
liquidityI: 15.8859
liquidityII: 78.4728
netMargin: 4.3018
grossMargin: 56.8109
cashFlowMargin: 11.4839
ebitMargin: 13.0373
ebitdaMargin: 0.0000
preTaxROE: 40.9121
preTaxROA: 8.3099
roe: 25.7213
roa: 5.2244
revenuesGrowth: -2.6310
taxExpenseRate: 39.6257
equityTurnover: 5.9791
epsBasic: -1.9100
epsBasicGrowth: 0.0000
incomeBeforeTaxes: 36.8700
priceCashFlowRatio: 1.7857
bookValuePerShare: 6.9323
marketCap: 110500000.0000
earningsYield: -22.4706
cashFlowPerShare: 4.7600
netAssetsPerShare: 6.4177
priceBookValueRatio: 1.2261
priceEarningsRatio: 4.7670
netEarningsPerShare: 1.7831
currency: EUR
year: 2025
priceCashFlowRatio: 1.4916
bookValuePerShare: 6.9323
marketCap: 92299998.7602
earningsYield: -26.9014
cashFlowPerShare: 4.7600
netAssetsPerShare: 6.9323
priceBookValueRatio: 1.0242
priceEarningsRatio: 3.9819
netEarningsPerShare: 1.7831
currency: EUR