FERRARI | Stock ComparatorFERRARI
None
Overview
Strengths
- The company has low debt. Net Debt to EBITDA Ratio is 0.62 and it is lower than the sector mean.
- The company has high returns. ROIC (27.98%) is higher than the sector mean (19.84%).
- Strong EBITDA Margin of 40.69%.
Weaknesses
- With a depreciation Potential of -74.24%, based on our fundamental analysis, it suggests the stock may be overvalued.
- Current Price to Earnings Ratio (51.14) is significantly higher than the sector mean (36.55).
- Price to book ratio (22.02) is significantly higher than the sector mean (5.43).
- EV/EBITDA (30.52) is significantly higher than the sector mean (20.89).
- The Price to Free Cash Flow ratio (83.02) is significantly higher than the sector mean.
Key Financial Data
Indicator | Value |
---|
PER | 51.4 |
EV/EBITDA | 30.6 |
Price/Free Cash Flow' | 83.4 |
ROIC | 28.0% |
Net Debt/EBITDA | 0.6 |