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XLONAFRN
Market cap5mUSD
Dec 24, Last price  
3.68GBP
1D
-1.93%
1Q
47.11%
Jan 2017
-97.88%
Name

Aferian PLC

Chart & Performance

D1W1MN
XLON:AFRN chart
P/E
P/S
5.63
EPS
Div Yield, %
0.80%
Shrs. gr., 5y
5.33%
Rev. gr., 5y
-11.34%
Revenues
91m
-1.90%
1,851,78525,296,46540,657,16950,033,42566,315,07548,962,49041,517,82768,365,33280,800,59866,869,78858,675,65756,492,14862,640,96493,888,000101,023,61188,934,00077,232,00082,704,00092,890,00091,127,000
Net income
-17m
L
02,535,948110,10004,819,4753,381,1160004,557,4086,816,4706,359,464535,2903,348,23614,931,5808,179,0002,989,0003,087,0005,652,000-17,422,000
CFO
4m
-62.94%
000882,8155,312,936228,6810022,315,09310,070,55811,875,22510,118,3228,776,65115,708,36220,415,88414,237,00012,792,00015,415,00010,872,0004,029,000
Dividend
Aug 25, 20221 GBP/sh
Earnings
May 29, 2025

Profile

Aferian Plc, together with its subsidiaries, operates as a B2B video streaming solutions company worldwide. It engages in the delivery of video experiences over IP using its end-to-end solution. The company develops and sells streaming devices and solutions, including licensing and support services; online video solutions; and set-top box devices, and associated operating and device management software. It is also involved in the development and sale of an end-to-end streaming platform and associated services to content owners, broadcasters, and Pay TV operators. The company was formerly known as Amino Technologies plc and changed its name to Aferian Plc in June 2021. Aferian Plc was founded in 1997 and is headquartered in Cambridge, the United Kingdom.
IPO date
Jun 09, 2004
Employees
225
Domiciled in
GB
Incorporated in
GB

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFY
2022‑112021‑112020‑112019‑112018‑112017‑112016‑112015‑11
Income
Revenues
91,127
-1.90%
Cost of revenue
49,121
Unusual Expense (Income)
NOPBT
42,006
NOPBT Margin
46.10%
Operating Taxes
512
Tax Rate
1.22%
NOPAT
41,494
Net income
(17,422)
-408.24%
Dividends
(3,256)
Dividend yield
4.13%
Proceeds from repurchase of equity
523
BB yield
-0.66%
Debt
Debt current
8,652
Long-term debt
3,475
Deferred revenue
Other long-term liabilities
1,358
Net debt
603
Cash flow
Cash from operating activities
4,029
CAPEX
(7,807)
Cash from investing activities
(9,352)
Cash from financing activities
2,986
FCF
42,743
Balance
Cash
11,524
Long term investments
Excess cash
6,968
Stockholders' equity
5,075
Invested Capital
84,189
ROIC
46.04%
ROCE
46.48%
EV
Common stock shares outstanding
86,616
Price
0.91
-42.95%
Market cap
78,821
-39.73%
EV
79,424
EBITDA
53,618
EV/EBITDA
1.48
Interest
313
Interest/NOPBT
0.75%