XWAR
SEL
Market cap311mUSD
Oct 07, Last price
56.20PLN
1D
0.72%
1Q
14.69%
Jan 2017
181.14%
IPO
108.15%
Name
Selena FM SA
Chart & performance
Notes
No notes on this company yet
Write a private note on this company, for your eyes only
Profile
Selena FM S.A., through its subsidiaries, manufactures and distributes construction chemicals and general construction accessories in European Union, Eastern Europe, Asia, North America, and South America. The company offers polyurethane foams, sealants, adhesives, thermal insulation systems, flooring systems, ceramic tile systems, interior wall systems, construction mortars, and waterproofing materials, as well as other products, such as building tapes, wood preservatives, chemical anchors, tools, and accessories under the Tytan, Artelit, Quilosa, TACK-R, Praxa, Cool-R, and Matizol names. It also engages in the research and development, intellectual property management, e-commerce activities, electricity generation, and production of gaseous fuels. Selena FM S.A. was founded in 1992 and is headquartered in Wroclaw, Poland. Selena FM S.A. operates as a subsidiary of Syrius Investments S.à R.L.
Related entities
Subsidiaries
SELENA INDUSTRIAL TECHNOLOGIES SPOLKA Z OGRANICZONA ODPOWIEDZIALNOSCIA
Key people
Agnieszka Rumczyk
Chief Accounting Officer, Director of Financial Reporting and Taxation
Christian Doelle
Vice Chairman of the Management Board, Director of Marketing and Strategy · since 2019
Chief Financial Officer, Member of the Management Board · since 2019
Boryslaw Czyzak
Independent Member of the Supervisory Board · since 2015
Andrzej Kraemer
Independent Chairman of the Supervisory Board · since 2019
Czeslaw Domarecki
Member of the Supervisory Board · since 2019
Lukasz Dziekan
Member of the Supervisory Board · since 2019
Grzegorz Kostrzynski
Member of the Supervisory Board · since 2012
Marlena Lubieszko-Siewruk
Independent Member of the Supervisory Board · since 2017
Independent Member of the Supervisory Board · since 2017
Headquarters & legal address
WROCŁAW LEGNICKA 48A
WROCŁAW, 02 54-202
PL
WROCŁAW, 02 54-202
PL
Valuation
Title PLN in thousands, except ratios and share amounts | FY | FY | FY | FY | FY | FY | FY | FY | FY | FY |
|---|---|---|---|---|---|---|---|---|---|---|
| 2025‑12 | 2024‑12 | 2023‑12 | 2022‑12 | 2021‑12 | 2020‑12 | 2019‑12 | 2018‑12 | 2017‑12 | 2016‑12 | |
| Income | ||||||||||
Revenues | ||||||||||
Cost of revenue | ||||||||||
Unusual Expense (Income) | ||||||||||
NOPBT | ||||||||||
NOPBT Margin | ||||||||||
Operating Taxes | ||||||||||
Tax Rate | ||||||||||
NOPAT | ||||||||||
Net income | ||||||||||
Dividends | ||||||||||
Dividend yield | ||||||||||
Proceeds from repurchase of equity | ||||||||||
BB yield | ||||||||||
| Debt | ||||||||||
Debt current | ||||||||||
Long-term debt | ||||||||||
Deferred revenue | ||||||||||
Other long-term liabilities | ||||||||||
Net debt | ||||||||||
| Cash flow | ||||||||||
Cash from operating activities | ||||||||||
CAPEX | ||||||||||
Cash from investing activities | ||||||||||
Cash from financing activities | ||||||||||
FCF | ||||||||||
| Balance | ||||||||||
Cash | ||||||||||
Long term investments | ||||||||||
Excess cash | ||||||||||
Stockholders' equity | ||||||||||
Invested Capital | ||||||||||
ROIC | ||||||||||
ROCE | ||||||||||
| EV | ||||||||||
Common stock shares outstanding | ||||||||||
Price | ||||||||||
Market cap | ||||||||||
EV | ||||||||||
EBITDA | ||||||||||
EV/EBITDA | ||||||||||
Interest | ||||||||||
Interest/NOPBT | ||||||||||