SFC ENERGY AG

Bid 22,65 EUR
Ask 23,15 EUR

Firmenbeschreibung

Die SFC Energy ist eine weltweit führende Unternehmensgruppe für mobile Energielösungen und Power Management für Industrie-, Verteidigungs- und Freizeitmärkte mit Fokus auf die Öl & Gas Industrie. Die Gesellschaft entwickelt, produziert und vertreibt Energieversorgungssysteme und deren Komponenten unter anderem auf Basis der Brennstoffzellentechnologie. Zum Angebot gehören außerdem Zubehör und Ersatzteile, insbesondere Tankpatronen, sowie Lösungen für die Kombination von Brennstoffzellenprodukten mit anderen Stromquellen und –verbrauchern. Das Unternehmen verfügt des Weiteren über eine etablierte Tankpatroneninfrastruktur für den Treibstoff Methanol und produziert kommerzielle Serienprodukte im Bereich von Methanol-Brennstoffzellen. SFC Energy kooperierte bislang mit der Hymer Gruppe, Trigano, Webasto, der Deutschen Bundeswehr, der U.S. Army und der U.S. Air Force. Mit der Einführung des EFOY ProCube und SFC Power Manager in den Märkten Industrie und Verteidigung hat SFC bereits erste Gesamtsystemlösungen erfolgreich auf den Markt gebracht. Dabei werden die Produkte vermehrt als Systemlösung zur Stromversorgung gemäß den Kundenbedürfnissen geliefert. Der Konzern besteht aus der SFC Energy AG, der SFC Energy Inc. in den USA, der PBF Group B.V. in den Niederlanden und deren Tochterunternehmen sowie der Simark Controls Ltd. in Kanada.

KeyData

endOfFinancialYear: 31.12.2022 00:00
stockholderStructure: free float (62.18%),other institutions (21.06%),ACATIS (4.65%),DWS (3.14%),HANSAINVEST (2.99%),Conduit Ventures Ltd (2.08%),NATIXIS (2.02%),insiders (1.88%)
sharesOutstanding: 17381691.0000
ceo: Dr. Peter Podesser
board: Daniel Saxena, Hans Pol
supervisoryBoard: Henning Gebhardt, Gerhard Schempp, Sunaina Sinha Haldea, Dr. Andreas Blaschke
countryID: 2
freeFloat: 80.6000
faceValue: 1.0000
faceValueCurrencyID: 1
faceValueCurrency: EUR
sectorName: Diversifizierte Industrieunternehmen
industryName: Industrie
subsectorName: Diversifizierte Industrieunternehmen
country: Deutschland
countryName: Deutschland

Kontakt

name: Susan Hoffmeister
phone: +49-89-673592-378
fax: +49-89-673592-169
email: ir@sfc.com
irWebSite: https://www.sfc.com/de/#header

Adresse

street: Eugen-Sänger-Ring 7
city: D-85649 Brunnthal-Nord
phone: +49-89-673592-0
fax: +49-89-673592-169
webSite: www.sfc.com
email: info@sfc.com

Finanzen (kurz)

year: 2022 cash: 64.8000
balanceSheetTotal: 147.2000 liabilities: 43.7000
totalShareholdersEquity: 103.4000 sales: 85.2000
investment: 0.0000 incomeBeforeTaxes: 3.0000
netIncome: 2.0000 employees: 326
currencyID: 1 units: 1000000
currency: EUR
year: 2023 cash: 89.8400
balanceSheetTotal: 176.3900 liabilities: 48.2500
totalShareholdersEquity: 128.1300 sales: 118.1400
investment: 0.9800 incomeBeforeTaxes: 9.3400
netIncome: 21.0800 employees: 388
currencyID: 1 units: 1000000
currency: EUR
year: 2024 cash: 60.4900
balanceSheetTotal: 194.1200 liabilities: 54.9000
totalShareholdersEquity: 139.2100 sales: 144.7500
investment: 1.0900 incomeBeforeTaxes: 13.9400
netIncome: 9.3950 employees: 441
currencyID: 1 units: 1000000
currency: EUR

Finanzen (kurz)

year: 2022
cash: 64.8000
balanceSheetTotal: 147.2000
liabilities: 43.7000
totalShareholdersEquity: 103.4000
sales: 85.2000
investment: 0.0000
incomeBeforeTaxes: 3.0000
netIncome: 2.0000
employees: 326
currencyID: 1
units: 1000000
currency: EUR
year: 2023
cash: 89.8400
balanceSheetTotal: 176.3900
liabilities: 48.2500
totalShareholdersEquity: 128.1300
sales: 118.1400
investment: 0.9800
incomeBeforeTaxes: 9.3400
netIncome: 21.0800
employees: 388
currencyID: 1
units: 1000000
currency: EUR
year: 2024
cash: 60.4900
balanceSheetTotal: 194.1200
liabilities: 54.9000
totalShareholdersEquity: 139.2100
sales: 144.7500
investment: 1.0900
incomeBeforeTaxes: 13.9400
netIncome: 9.3950
employees: 441
currencyID: 1
units: 1000000
currency: EUR

Finanzen (ausführlich)

year: 2023 units: 1000000
balanceSheetTotal: 176.3900 cash: 89.8400
currentAssets: 121.2500 fixedAssets: 55.1400
liabilities: 33.5700 nonCurrentLiabilities: 14.6800
totalLiabilitiesEquity: 176.3900 provisions: 5.7300
totalShareholdersEquity: 128.1300 employees: 388
property: 16.9400 intangibleAssets: 19.8100
inventories: 25.0400 accountsReceivable: 28.6400
accountsPayable: 12.8900 liabilitiesTotal: 48.2500
longTermDebt: 0.0000 shortTermDebt: 3.7900
minorityInterests: 0.2900 sales: 118.1400
depreciation: 0.1800 netIncome: 21.0800
operatingResult: 9.1500 incomeInterest: 0.1900
investments: 5.2900 incomeTaxes: 11.7100
costGoodsSold: 71.3500 grossProfit: 46.7900
minorityInterestsProfit: -0.0220 revenuePerEmployee: 304484.5361
cashFlow: 3.5700 cashFlowInvesting: -5.4800
cashFlowFinancing: -2.6700 accountingStandard: IFRS
equityRatio: 72.6402 debtEquityRatio: 37.6649
liquidityI: 267.6199 liquidityII: 352.9342
netMargin: 17.8432 grossMargin: 39.6056
cashFlowMargin: 3.0218 ebitMargin: 7.7450
ebitdaMargin: 0.0000 preTaxROE: 7.2895
preTaxROA: 5.2951 roe: 16.4520
roa: 11.9508 netIncomeGrowth: 954.0000
revenuesGrowth: 38.6620 taxExpenseRate: 125.3747
equityTurnover: 0.9220 epsBasic: 1.2100
epsBasicGrowth: 830.7692 incomeBeforeTaxes: 9.3400
priceEarningsRatioCompany: 25.7521 priceCashFlowRatio: 151.5554
bookValuePerShare: 7.3792 marketCap: 541052611.5600
earningsYield: 3.8832 pegRatio: 0.0310
cashFlowPerShare: 0.2056 netAssetsPerShare: 7.3959
priceBookValueRatio: 4.2227 priceEarningsRatio: 25.6666
netEarningsPerShare: 1.2140 currency: EUR
year: 2024 units: 1000000
balanceSheetTotal: 194.1200 cash: 60.4900
currentAssets: 135.4700 fixedAssets: 58.6500
liabilities: 39.1200 nonCurrentLiabilities: 15.7800
totalLiabilitiesEquity: 194.1200 provisions: 7.2400
totalShareholdersEquity: 139.2100 employees: 441
property: 22.5700 intangibleAssets: 20.7100
inventories: 30.5900 accountsReceivable: 35.8400
accountsPayable: 15.5500 liabilitiesTotal: 54.9000
shortTermDebt: 4.1300 minorityInterests: -0.0630
sales: 144.7500 netIncome: 9.3950
operatingResult: 13.7300 incomeInterest: 0.2110
investments: 7.2600 incomeTaxes: 4.5900
costGoodsSold: 85.4300 grossProfit: 59.3200
minorityInterestsProfit: -0.0410 revenuePerEmployee: 328231.2925
cashFlow: 14.4500 cashFlowInvesting: -11.0800
cashFlowFinancing: -3.0950 accountingStandard: IFRS
equityRatio: 71.7134 debtEquityRatio: 39.4440
liquidityI: 154.6268 liquidityII: 246.2423
netMargin: 6.4905 grossMargin: 40.9810
cashFlowMargin: 9.9827 ebitMargin: 9.4853
ebitdaMargin: 0.0000 preTaxROE: 10.0136
preTaxROA: 7.1811 roe: 6.7488
roa: 4.8398 netIncomeGrowth: -55.4317
revenuesGrowth: 22.5241 taxExpenseRate: 32.9268
equityTurnover: 1.0398 epsBasic: 0.5400
epsBasicGrowth: -55.3719 incomeBeforeTaxes: 13.9400
priceEarningsRatioCompany: 31.8519 priceCashFlowRatio: 20.6896
bookValuePerShare: 8.0090 marketCap: 298965085.2000
earningsYield: 3.1395 pegRatio: -0.5752
cashFlowPerShare: 0.8313 netAssetsPerShare: 8.0054
priceBookValueRatio: 2.1476 priceEarningsRatio: 31.8217
netEarningsPerShare: 0.5405 currency: EUR
year: 2025 priceEarningsRatioCompany: 42.2222
priceCashFlowRatio: 27.4258 bookValuePerShare: 8.0090
marketCap: 396302554.8000 earningsYield: 2.3684
pegRatio: -0.7625 cashFlowPerShare: 0.8313
netAssetsPerShare: 8.0090 priceBookValueRatio: 2.8468
priceEarningsRatio: 42.1823 netEarningsPerShare: 0.5405
currency: EUR

Finanzen (ausführlich)

year: 2023
units: 1000000
balanceSheetTotal: 176.3900
cash: 89.8400
currentAssets: 121.2500
fixedAssets: 55.1400
liabilities: 33.5700
nonCurrentLiabilities: 14.6800
totalLiabilitiesEquity: 176.3900
provisions: 5.7300
totalShareholdersEquity: 128.1300
employees: 388
property: 16.9400
intangibleAssets: 19.8100
inventories: 25.0400
accountsReceivable: 28.6400
accountsPayable: 12.8900
liabilitiesTotal: 48.2500
longTermDebt: 0.0000
shortTermDebt: 3.7900
minorityInterests: 0.2900
sales: 118.1400
depreciation: 0.1800
netIncome: 21.0800
operatingResult: 9.1500
incomeInterest: 0.1900
investments: 5.2900
incomeTaxes: 11.7100
costGoodsSold: 71.3500
grossProfit: 46.7900
minorityInterestsProfit: -0.0220
revenuePerEmployee: 304484.5361
cashFlow: 3.5700
cashFlowInvesting: -5.4800
cashFlowFinancing: -2.6700
accountingStandard: IFRS
equityRatio: 72.6402
debtEquityRatio: 37.6649
liquidityI: 267.6199
liquidityII: 352.9342
netMargin: 17.8432
grossMargin: 39.6056
cashFlowMargin: 3.0218
ebitMargin: 7.7450
ebitdaMargin: 0.0000
preTaxROE: 7.2895
preTaxROA: 5.2951
roe: 16.4520
roa: 11.9508
netIncomeGrowth: 954.0000
revenuesGrowth: 38.6620
taxExpenseRate: 125.3747
equityTurnover: 0.9220
epsBasic: 1.2100
epsBasicGrowth: 830.7692
incomeBeforeTaxes: 9.3400
priceEarningsRatioCompany: 25.7521
priceCashFlowRatio: 151.5554
bookValuePerShare: 7.3792
marketCap: 541052611.5600
earningsYield: 3.8832
pegRatio: 0.0310
cashFlowPerShare: 0.2056
netAssetsPerShare: 7.3959
priceBookValueRatio: 4.2227
priceEarningsRatio: 25.6666
netEarningsPerShare: 1.2140
currency: EUR
year: 2024
units: 1000000
balanceSheetTotal: 194.1200
cash: 60.4900
currentAssets: 135.4700
fixedAssets: 58.6500
liabilities: 39.1200
nonCurrentLiabilities: 15.7800
totalLiabilitiesEquity: 194.1200
provisions: 7.2400
totalShareholdersEquity: 139.2100
employees: 441
property: 22.5700
intangibleAssets: 20.7100
inventories: 30.5900
accountsReceivable: 35.8400
accountsPayable: 15.5500
liabilitiesTotal: 54.9000
shortTermDebt: 4.1300
minorityInterests: -0.0630
sales: 144.7500
netIncome: 9.3950
operatingResult: 13.7300
incomeInterest: 0.2110
investments: 7.2600
incomeTaxes: 4.5900
costGoodsSold: 85.4300
grossProfit: 59.3200
minorityInterestsProfit: -0.0410
revenuePerEmployee: 328231.2925
cashFlow: 14.4500
cashFlowInvesting: -11.0800
cashFlowFinancing: -3.0950
accountingStandard: IFRS
equityRatio: 71.7134
debtEquityRatio: 39.4440
liquidityI: 154.6268
liquidityII: 246.2423
netMargin: 6.4905
grossMargin: 40.9810
cashFlowMargin: 9.9827
ebitMargin: 9.4853
ebitdaMargin: 0.0000
preTaxROE: 10.0136
preTaxROA: 7.1811
roe: 6.7488
roa: 4.8398
netIncomeGrowth: -55.4317
revenuesGrowth: 22.5241
taxExpenseRate: 32.9268
equityTurnover: 1.0398
epsBasic: 0.5400
epsBasicGrowth: -55.3719
incomeBeforeTaxes: 13.9400
priceEarningsRatioCompany: 31.8519
priceCashFlowRatio: 20.6896
bookValuePerShare: 8.0090
marketCap: 298965085.2000
earningsYield: 3.1395
pegRatio: -0.5752
cashFlowPerShare: 0.8313
netAssetsPerShare: 8.0054
priceBookValueRatio: 2.1476
priceEarningsRatio: 31.8217
netEarningsPerShare: 0.5405
currency: EUR
year: 2025
priceEarningsRatioCompany: 42.2222
priceCashFlowRatio: 27.4258
bookValuePerShare: 8.0090
marketCap: 396302554.8000
earningsYield: 2.3684
pegRatio: -0.7625
cashFlowPerShare: 0.8313
netAssetsPerShare: 8.0090
priceBookValueRatio: 2.8468
priceEarningsRatio: 42.1823
netEarningsPerShare: 0.5405
currency: EUR