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MarketScreener Homepage  >  Equities  >  Xetra  >  MTU Aero Engines AG    MTX   DE000A0D9PT0

MTU AERO ENGINES AG

(MTX)
  Report
Real-time Quote. Real-time Tradegate - 01/24 04:54:05 am
286.95 EUR   +1.11%
01/21MTU AERO ENGINES : Corporate Responsibility
PU
01/21MTU AERO ENGINES : Corporate Governance
PU
01/20MTU AERO ENGINES : Maintenance opens office in leasing hometown Dublin
AQ
SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Income Statement Evolution
Annual Income Statement Data
Actuals in M € Estimates in M €
Fiscal Period December 2016 2017 2018 2019 (e) 2020 (e) 2021 (e)
Sales 4 733 5 036 4 567 4 764 5 154 5 485
EBITDA 678 789 857 927 1 020 1 121
Operating profit (EBIT) 503 607 671 740 816 906
Pre-Tax Profit (EBT) 416 515 607 678 757 849
Net income 313 378 453 498 556 616
P/E ratio 18,0x 20,3x 18,3x 29,9x 26,8x 24,5x
EPS ( € ) 6,09 7,35 8,67 9,50 10,6 11,6
Dividend per Share ( € ) 1,90 2,30 2,85 3,35 3,99 4,76
Yield 1,73% 1,54% 1,80% 1,18% 1,41% 1,68%
Reference price ( € ) 109,800 149,400 158,400 283,800 283,800 283,800
Announcement Date 02/23/2017
08:42am
02/21/2018
07:53am
02/20/2019
02:25am
- - -
Finances - Leverage
Actuals in M € Estimates in M €
Fiscal Period December 2016 2017 2018 2019 (e) 2020 (e) 2021 (e)
Debt 892 827 854 902 671 516
Finance - - - - - -
Operating income (EBITDA) 678 789 857 927 1 020 1 121
Leverage
(Debt/EBITDA)
1,32x 1,05x 1,00x 0,97x 0,66x 0,46x
Capital Expenditure 268 321 184 276 268 270
Free Cash Flow (FCF) 82,0 151 203 352 427 537
Book Value Per Share (BVPS) ( € ) 29,2 37,9 41,0 45,1 51,9 58,9
Cash Flow per Share ( € ) 6,64 9,29 11,4 12,4 14,5 16,8
Announcement Date 02/23/2017
08:42am
02/21/2018
07:53am
02/20/2019
02:25am
- - -
Balance Sheet Analysis
Assessed data source
© 2020 S&P Global Market Intelligence
Financial Ratios

Size 2019e 2020e
Capitalization 14 999 M € -
Entreprise Value (EV) 15 901 M € 15 670 M €
Valuation 2019e 2020e
P/E ratio (Price / EPS) 29,9x 26,8x
Capitalization / Revenue 3,15x 2,91x
EV / Revenue 3,34x 3,09x
EV / EBITDA 17,2x 15,6x
Yield (DPS / Price) 1,18% 1,41%
Price to book (Price / BVPS) 6,30x 5,47x
Profitability 2019e 2020e
Operating Margin (EBIT / Sales) 15,5% 15,8%
Operating Leverage (Delta EBIT / Delta Sales) 2,36x 1,26x
Net Margin (Net Profit / Revenue) 10,4% 10,8%
ROA (Net Profit / Asset) 7,34% 7,79%
ROE (Net Profit / Equities) 23,2% 22,7%
Rate of Dividend 35,3% 37,6%
Balance Sheet Analysis 2019e 2020e
CAPEX / Sales   5,80% 5,21%
Cash Flow / Sales 13,8% 14,9%
Capital Intensity (Assets / Sales) 1,42x 1,39x
Financial Leverage (Net Debt / EBITDA) 0,97x 0,66x
EPS & Dividend