OTCMGRPRF
Market cap362mUSD
Dec 23, Last price
0.74USD
1D
-3.90%
IPO
-42.49%
Name
Grupo Rotoplas SAB de CV
Chart & Performance
Profile
Grupo Rotoplas S.A.B. de C.V., together with its subsidiaries, manufactures, purchases, sells, and installs plastic containers and accessories for water storage, conduction, and improvement solutions in Mexico and internationally. It operates through Individual Solutions and Comprehensive Solutions segments. The company offers storage solutions, water tanks, cisterns, storage tanks for water and chemicals, inductor tanks, horizontal tanks, and feeders. It also provides hydraulic tuboplus pipes; plastic bolts and connectors; valves; centrifugal, peripheral, submersible, and circulation pump, as well as hydro pneumatic systems; sanitary catch pits; water heaters and heaters, and electric showers; self-cleaning biodigester; standard and jumbo filters; refrigerator and tap water filters; and water filter jugs. In addition, the company offers rural rainwater harvesting systems, urban water harvesting, and outdoor toilets with bio digester solutions. Further, it provides water treatment and recycling, and purified drinking water services. Additionally, the company offers financial, administrative, and real estate services, as well as exports, imports, and distributes water storage plastic tanks; and engages in residual water treatment activities. Grupo Rotoplas S.A.B. de C.V. was founded in 1978 and is headquartered in Mexico City, Mexico.
Valuation
Title MXN in thousands, except ratios and share amounts | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY |
---|---|---|---|---|---|---|---|---|---|---|
2023‑12 | 2022‑12 | 2021‑12 | 2020‑12 | 2019‑12 | 2018‑12 | 2017‑12 | 2016‑12 | 2015‑12 | 2014‑12 | |
Income | ||||||||||
Revenues | 12,146,209 -4.92% | 12,774,279 17.04% | 10,914,512 26.26% | |||||||
Cost of revenue | 10,334,214 | 8,304,148 | 7,582,883 | |||||||
Unusual Expense (Income) | ||||||||||
NOPBT | 1,811,995 | 4,470,131 | 3,331,629 | |||||||
NOPBT Margin | 14.92% | 34.99% | 30.52% | |||||||
Operating Taxes | 26,833 | 26,314 | 131,942 | |||||||
Tax Rate | 1.48% | 0.59% | 3.96% | |||||||
NOPAT | 1,785,162 | 4,443,817 | 3,199,687 | |||||||
Net income | 323,676 -57.90% | 768,852 141.75% | 318,035 -44.11% | |||||||
Dividends | ||||||||||
Dividend yield | ||||||||||
Proceeds from repurchase of equity | (309,911) | (517,170) | (508,782) | |||||||
BB yield | 2.17% | 3.43% | 3.94% | |||||||
Debt | ||||||||||
Debt current | 96,802 | 74,438 | 67,167 | |||||||
Long-term debt | 4,295,608 | 4,371,872 | 4,416,264 | |||||||
Deferred revenue | ||||||||||
Other long-term liabilities | 262,220 | 219,419 | 206,268 | |||||||
Net debt | 3,587,317 | 3,148,763 | 2,494,038 | |||||||
Cash flow | ||||||||||
Cash from operating activities | 1,289,753 | 998,010 | 247,791 | |||||||
CAPEX | (496,155) | (659,002) | (514,997) | |||||||
Cash from investing activities | (475,698) | (601,266) | (505,960) | |||||||
Cash from financing activities | (841,407) | (1,073,435) | (1,198,348) | |||||||
FCF | 1,810,940 | 4,048,235 | 1,475,681 | |||||||
Balance | ||||||||||
Cash | 565,692 | 672,638 | 1,628,561 | |||||||
Long term investments | 239,401 | 624,909 | 360,832 | |||||||
Excess cash | 197,783 | 658,833 | 1,443,667 | |||||||
Stockholders' equity | 6,481,395 | 6,498,356 | 6,408,166 | |||||||
Invested Capital | 10,325,223 | 10,086,349 | 9,289,784 | |||||||
ROIC | 17.49% | 45.87% | 37.25% | |||||||
ROCE | 16.55% | 40.73% | 30.35% | |||||||
EV | ||||||||||
Common stock shares outstanding | 472,734 | 476,038 | 458,990 | |||||||
Price | 30.23 -4.64% | 31.70 12.77% | 28.11 2.78% | |||||||
Market cap | 14,290,749 -5.30% | 15,090,405 16.96% | 12,902,209 -0.53% | |||||||
EV | 17,982,996 | 18,447,779 | 15,507,785 | |||||||
EBITDA | 2,331,825 | 4,867,446 | 3,710,324 | |||||||
EV/EBITDA | 7.71 | 3.79 | 4.18 | |||||||
Interest | 514,240 | 514,455 | 510,675 | |||||||
Interest/NOPBT | 28.38% | 11.51% | 15.33% |