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OTCMMTASF
Market cap963mUSD
Dec 19, Last price  
13.43USD
Name

Montana Aerospace AG

Chart & Performance

D1W1MN
OTCM:MTASF chart
P/E
P/S
0.54
EPS
Div Yield, %
0.00%
Shrs. gr., 5y
5.15%
Rev. gr., 5y
16.76%
Revenues
1.48b
+13.00%
680,186,096721,655,488571,555,915790,052,0001,306,134,0001,475,989,829
Net income
-38m
L+5.10%
16,361,83700-49,009,000-36,110,000-37,951,000
CFO
92m
-29.78%
36,402,35793,435,5638,691,733-27,837,000131,396,00092,262,778
Earnings
May 21, 2025

Profile

Montana Aerospace AG design, develop, and manufacture system components and assemblies worldwide. It operates through Aerostructures, E-mobility, and Energy segments. The Aerostructures segment develop and manufacture mission-critical aircraft parts, which includes structural components for fuselage and wings, as well as critical engine components, and functional components for cabin interiors. Its E-mobility segment engages in the production of components and assemblies, which includes e-battery system, structural components, crash management, fluid and roof systems, and exteriors, as well as chassis, seat structure, and battery housing, cover, caring and cooling solutions. The Energy segment offers system-critical components for the energy infrastructure, which includes copper refinement and insulation systems; and provides bare wire manufacturing, enamel insulation, transposing, and other insulation system solutions. The company was founded in 1814 and is headquartered in Reinach, Switzerland.
IPO date
May 12, 2021
Employees
6,848
Domiciled in
CH
Incorporated in
CH

Valuation

Title
EUR in thousands, except ratios and share amounts
FYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑12
Income
Revenues
1,475,990
13.00%
1,306,134
65.32%
790,052
38.23%
Cost of revenue
1,313,294
896,396
542,445
Unusual Expense (Income)
NOPBT
162,696
409,738
247,607
NOPBT Margin
11.02%
31.37%
31.34%
Operating Taxes
(13,818)
8,085
5,923
Tax Rate
1.97%
2.39%
NOPAT
176,514
401,653
241,684
Net income
(37,951)
5.10%
(36,110)
-26.32%
(49,009)
 
Dividends
Dividend yield
Proceeds from repurchase of equity
1,923
588,162
BB yield
-0.22%
-30.19%
Debt
Debt current
97,020
122,913
57,727
Long-term debt
365,638
494,708
72,145
Deferred revenue
6,926
5,944
472,114
Other long-term liabilities
140,855
254,793
58,167
Net debt
205,341
158,270
(374,347)
Cash flow
Cash from operating activities
92,263
131,396
(27,837)
CAPEX
(69,415)
(85,956)
(121,370)
Cash from investing activities
(81,839)
(150,267)
(86,068)
Cash from financing activities
(269,113)
(66,427)
521,791
FCF
230,365
178,151
107,269
Balance
Cash
176,105
427,000
504,541
Long term investments
81,212
32,351
(322)
Excess cash
183,518
394,044
464,716
Stockholders' equity
11,964
38,944
41,151
Invested Capital
1,504,075
1,768,055
1,490,131
ROIC
10.79%
24.65%
19.80%
ROCE
10.42%
21.91%
15.95%
EV
Common stock shares outstanding
61,986
60,808
57,554
Price
17.66
23.15%
14.34
-57.64%
33.85
 
Market cap
1,094,666
25.54%
871,985
-55.24%
1,948,203
 
EV
1,298,204
1,028,850
1,573,152
EBITDA
265,625
518,971
319,415
EV/EBITDA
4.89
1.98
4.93
Interest
32,995
18,423
Interest/NOPBT
8.05%
7.44%