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Dynamic quotes 
OFFON

AIR PRODUCTS AND CHEMICALS, INC.

(APD)
  Report
SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Valuation
Fiscal Period: September 2019 2020 2021 2022 2023 2024
Capitalization1 48 88865 79656 69465 030--
Entreprise Value (EV)1 49 79968 45058 53070 14471 14472 801
P/E ratio 27,9x34,8x28,1x28,1x24,9x21,6x
Yield 2,06%1,74%2,28%2,17%2,35%2,56%
Capitalization / Revenue 5,48x7,43x5,49x5,83x5,39x5,00x
EV / Revenue 5,58x7,73x5,67x6,29x5,90x5,60x
EV / EBITDA 14,4x18,9x15,1x15,9x14,5x13,7x
Price to Book 4,42x5,45x4,19x4,50x4,17x3,91x
Nbr of stocks (in thousands) 220 355220 894221 365221 460--
Reference price (USD) 222298256294294294
Announcement Date 11/07/201911/11/202011/04/2021---
1 USD in Million
Estimates
Income Statement Evolution (Annual data)
Fiscal Period: September 2019 2020 2021 2022 2023 2024
Net sales1 8 9198 85610 32311 15512 06613 010
EBITDA1 3 4683 6203 8834 4054 9005 296
Operating profit (EBIT)1 2 1702 2042 2682 5202 9073 256
Operating Margin 24,3%24,9%22,0%22,6%24,1%25,0%
Pre-Tax Profit (EBT)1 2 2902 4242 5072 9413 3433 933
Net income1 1 7601 9012 0292 3252 6173 020
Net margin 19,7%21,5%19,7%20,8%21,7%23,2%
EPS2 7,948,559,1210,511,813,6
Dividend per Share2 4,585,185,846,366,897,52
Announcement Date 11/07/201911/11/202011/04/2021---
1 USD in Million
2 USD
Income Statement Evolution (Quarterly data)
Fiscal Period: September 2021 Q2 2021 Q3 2021 Q4 2022 Q1 2022 Q2 2022 Q3
Net sales1 2 5022 6052 8412 6632 7142 735
EBITDA1 9349761 0411 0631 0721 102
Operating profit (EBIT)1 535577617605615645
Operating Margin 21,4%22,2%21,7%22,7%22,6%23,6%
Pre-Tax Profit (EBT)1 599626692687701746
Net income1 473534559559563606
Net margin 18,9%20,5%19,7%21,0%20,7%22,2%
EPS2 2,132,402,512,512,532,68
Dividend per Share ------
Announcement Date 05/10/202108/09/202111/04/2021---
1 USD in Million
2 USD
Previous periodNext period
Balance Sheet Analysis
Fiscal Period: September 2019 2020 2021 2022 2023 2024
Net Debt1 9112 6551 8365 1146 1147 771
Net Cash position1 ------
Leverage (Debt / EBITDA) 0,26x0,73x0,47x1,16x1,25x1,47x
Free Cash Flow1 980756871-1 130477171
ROE (Net Profit / Equities) 16,1%16,4%15,8%16,6%18,0%18,6%
Shareholders' equity1 10 95511 56712 81013 97714 52516 216
ROA (Net Profit / Asset) 9,23%8,44%7,80%10,9%9,06%10,0%
Assets1 19 06822 51926 01421 40428 88830 197
Book Value Per Share2 50,254,761,165,270,375,1
Cash Flow per Share2 13,414,715,016,518,520,8
Capex1 1 9902 5092 4644 1723 3564 139
Capex / Sales 22,3%28,3%23,9%37,4%27,8%31,8%
Announcement Date 11/07/201911/11/202011/04/2021---
1 USD in Million
2 USD
Key data
Capitalization (USD) 65 029 626 570
Net sales (USD) 10 323 000 000
Number of employees 20 750
Sales / Employee (USD) 497 494
Free-Float 88,5%
Free-Float capitalization (USD) 57 547 854 462
Avg. Exchange 20 sessions (USD) 363 221 169
Average Daily Capital Traded 0,56%
EPS & Dividend
Year-on-year evolution of the PER
Year-on-year evolution of the Yield
Change in Enterprise Value/EBITDA