NYSE: GB - Global Blue Group Holding AG

Yield per half year: +6.85%
Sector: Technology

Global Blue Group Holding AG

Underestimation
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
P/E
1/10
64.31 100.6 -36.07% 203.59 -68.41%
P/S 2.13 7 -69.59%
P/BV 12.78 12.19 4.81%
P/FCF 13.27 191.31 -93.06%
Ev/Ebitda 9.91 89.15 -88.88%
Ev/S 3.37 6.98 -51.69%
Ev/FCF 17.66 196.94 -91.03%
E/P 0.0131 0.3608 -96.37%
Efficiency
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Ebitda margin
9/10
34.01 13.57 150.63% -124.93 -127.22%
ROE 22.57 44.16 -48.89%
ROA 1.28 3.94 -67.47%
ROIC 0 1.18 -100%
ROS 3.31 6.69 -50.49%
ROCE 141.96 25.53 456.12%
Debt
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Debt/Ebitda
2/10
4.16 2.79 49.31% -5.32 -178.21%
Nеt Debt/Ebitda 3.66 2.28 60.38%
Debt/Ratio 0.548 0.219 150.24%
Debt/Equity 24.06 4.73 409.19%
Debt/Net Income 42.77 1.82 2248.38%
Dividends
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Dividend yield
0/10
0 0.9394 -100% 0 0%
Number of years of dividend growth 0 0.7619 -100%
DSI 0 0.441 -100%
Average dividend growth 0 -27.07 -100%
Average percentage for 5 years 0 0.9762 -100%
Average percentage for payments 0 28.66 -100%
Difference from average difference in sector -0.9394
Growth impulse
Parameter Grade Value Sector average Difference with sector, %
Growth impulse Revenue 5 years
1/10
0.4527 91.15 -99.5%
Growth impulse Ebitda 5 years -4.92 108.2 -104.55%
Growth impulse Net Income 5 years 737.33 126.27 483.93%
Growth impulse FCF 5 years -46.79 313.37 -114.93%
Growth impulse EPS 5 years 258.67 2901.22 -91.08%
IP Score
3.63/10

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