Carlsberg B A/S

CARL-B 
(NasdaqOMXC) 
 

Company Profile

Description
Carlsberg is one of the largest brewerys in the world. The company produces brands such as, Carlsberg, Tuborg , Baltika, Kronenburg and 1664 and others. Carlsberg is considered a higher cost producer than its peers, but the company has implemented cost cutting and efficiency measures which has greatly increased margins. These measures should make the company trade at a lesser valuation discount than its peers. Growth is predominantly expected to come from Asian and Eastern Europe, where Carlsberg has a very strong presence.
Key Stats
Website: http://www.carlsberggroup.com
Headquarter country: Denmark
Employees: 40,435
Market Cap (at close 27/08/2019): DKK 146B
Fiscal Year Ends: December

Stats



Price/Earnings
Forward Price/Earnings
Price/Free Cash Flow
Return of Assets
Return on Equity
Return on Invested Capital
20182017201620152014

74.5023.1023.9013.70 18.3021.1018.4018.4012.70 12.8016.6011.7022.3025.50 4.601.003.60-2.203.10 11.502.609.50-6.107.30 8.002.206.50-2.605.50

Dividend


Dividend/Share
Ex. Dividend Date
Trailing Dividend Yield
Payout Ratio

16.00
31/12/2018
1.81
46.51
Date Currency Amount
31/03/2015DKK9.00
31/03/2014DKK8.00
31/03/2013DKK6.00

Income Statement DKKm



Revenue
Total Revenue
Gross Profit
Gross Margin %
EBITDA
Net Income
Basic Earnings Per Share

Operating Expenses
Operating Income
Operation Margin %
20182017201620152014


62,503.0061,808.0062,614.0065,354.0064,506.00 31.2231.4831.4231.9331.78 49.95%50.94%50.18%48.85%49.27% 13,384.009,125.0013,318.004,549.0012,587.00 5,309.001,259.004,486.00-2,926.004,414.00 34.80


8.30


29.40


-19.20


28.90


22.0622.9323.5623.9323.13 9.178.567.868.008.66 14.66%



13.84%



12.55%



12.24%



13.42%



Cash Flow DKKm



Operating Cash Flow
Operating Cash Flow
Capital Expenditures
Free Cash Flow
20182017201620152014


12,047.0011,834.009,329.0010,140.007,405.00 -4,027.00-4,053.00-3,840.00-4,150.00-5,908.00 8,020.007,781.005,489.005,990.001,497.00

Balance Sheet DKKm



Assets
Current Assets
Long Term Assets
Total Assets

Liabilities
Total Current Liabilities
Long Term Liabilities
Total Liabilities

Equity
Retained Earnings
Treasury Stock
Total Stockholder Equity
Net Tangible Assets
31/12/201831/12/201731/12/201631/12/201531/12/2014


18,086.0015,252.0016,978.0017,076.0018,643.0020,134.00 99,614.0098,999.00109,928.00107,825.00118,340.00131,004.00 117,700.00




114,251.00




126,906.00




124,901.00




136,983.00




151,138.00




34,481.0025,066.0034,150.0029,759.0026,523.0034,391.00 42,255.0041,960.0051,653.00




67,321.00




76,095.00




81,412.00









79,088.0077,364.0077,261.0075,885.0080,392.0078,515.00 45,302.0046,930.0050,811.0043,489.0052,437.0067,811.00 -21,566.00-20,863.00-25,925.00-29,431.00-29,317.00-24,084.00

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19 September 2019 06:16:58
(UTC+00:00) Dublin, Edinburgh, Lisbon, London
Version: LiveBranchBuild_20190829.2 - EUROWEB1 - 2019-09-19 07:16:58 - 2019-09-19 06:16:58 - 1000 - Website: OKAY