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TOMTOM NV

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TomTom : Excel Tables Website - Q2 2022

07/15/2022 | 03:24am EST
Cover
TOMTOM FINANCIAL DATA PACK Q2 '22
1. Key figures table
Key figures
Second quarter and half year 2022 results
Key figures
(€ in millions, unless stated otherwise) Q2 '22 Q2 '21 y.o.y. change H1 '22 H1 '21 y.o.y. change
Location Technology 105.3 103.2 2% 210.5 208.0 1%
Consumer 27.3 29.9 -9% 50.5 56.3 -10%
Revenue 132.6 133.1 0% 261.0 264.3 -1%
Gross profit 109.8 102.7 7% 218.9 209.2 5%
Gross margin 83% 77% 84% 79%
Operating expenses 165.2 123.8 33% 294.2 244.5 20%
EBITDA -41.1 -2.3 -45.7 5.0
EBITDA margin -31% -2% -18% 2%
EBITDA -55.5 -21.1 -75.3 -35.3
EBITDA margin -42% -16% -29% -13%
Net result -55.0 -23.6 -76.5 -35.1
Free cash flow (FCF) 0.2 -15.8 -23.1 -19.7
FCF as a % of revenue 0% -12% -9% -7%
Location Technology
(€ in millions, unless stated otherwise) Q2 '22 Q2 '21 y.o.y. change H1 '22 H1 '21 y.o.y. change
Automotive 60.0 61.0 -2% 120.4 123.6 -3%
Enterprise 45.3 42.2 8% 90.1 84.4 7%
Location Technology revenue 105.3 103.2 2% 210.5 208.0 1%
Segment EBIT -46.0 -42.8
EBIT margin (%) -22% -21%
(€ in millions) Q2 '22 Q2 '21 y.o.y. change H1 '22 H1 '21 y.o.y. change
Automotive reported revenue 60.0 61.0 -2% 120.4 123.6 -3%
Movement of Automotive deferred revenue 10.6 2.1 18.4 13.9
Operational revenue 70.6 63.1 12% 138.8 137.5 1%
Consumer
(€ in millions, unless stated otherwise) Q2 '22 Q2 '21 y.o.y. change H1 '22 H1 '21 y.o.y. change
Consumer products 26.1 27.7 -6% 47.7 51.1 -7%
Automotive hardware 1.2 2.2 -45% 2.8 5.2 -47%
Consumer revenue 27.3 29.9 -9% 50.5 56.3 -10%
Segment EBIT 4.9 10.9
EBIT margin (%) 10% 19%
Operating expenses excluding D&A and restructuring charge
(€ in millions) Q2 '22 Q2 '21 y.o.y. change H1 '22 H1 '21 y.o.y. change
Research and development expenses - Geographic data 46.3 44.0 5% 93.7 85.4 10%
Research and development expenses - Application layer 43.0 33.6 28% 81.4 65.8 24%
Sales and marketing expenses 12.1 11.3 7% 22.6 21.5 5%
General and administrative expenses 18.7 16.2 15% 36.2 31.5 15%
Total excluding D&A and restructuring 120.1 105.0 14% 233.9 204.2 14%
Depreciation and amortization 14.4 18.8 -23% 29.6 40.3 -26%
Restructuring 30.7 100% 30.7 100%
Total operating expenses 165.2 123.8 33% 294.2 244.5 20%
Deferred revenue
(€ in millions) 30 June 2022 31 December 2021
Automotive 413.4 395.0
Enterprise 16.0 41.5
Consumer 22.2 25.5
Gross deferred revenue 451.6 461.9
Less: Netting adjustment to unbilled revenue 17.4 21.2
Deferred revenue 434.2 440.7
Free cash flow
(€ in millions) Q2 '22 Q2 '21 H1 '22 H1 '21
Cash flow from operating activities 1.2 -13.1 -15.7 -13.8
Investments in intangible assets -5.1
Investments in property, plant and equipment -1.0 -2.7 -2.3 -5.8
Free cash flow 0.2 -15.8 -23.1 -19.7
2. Cons Stat of Income
Consolidated condensed statement of income
Second quarter and half year 2022 results
(€ in thousands) Q1 '21 Q2 '21 Q3 '21 Q4 '21 Q1 '22 Q2 '22 H1 '22 H1 '21
Automotive 62,654 60,983 52,368 47,063 60,511 59,951 120,462 123,637
Enterprise 42,142 42,267 42,994 43,513 44,733 45,344 90,077 84,409
Location Technology 104,796 103,250 95,361 90,577 105,244 105,295 210,539 208,046
Consumer 26,395 29,853 32,108 24,586 23,205 27,283 50,488 56,248
Revenue 131,191 133,102 127,469 115,164 128,449 132,578 261,028 264,293
Cost of sales 24,681 30,367 23,842 20,931 19,313 22,825 42,138 55,048
Gross profit 106,510 102,735 103,627 94,233 109,136 109,753 218,890 209,245
Gross margin 81% 77% 81% 82% 85% 83% 84% 79%
Research and development expenses - Geographic data 53,268 55,261 55,822 55,457 56,531 54,945 111,476 108,528
Research and development expenses - Application layer 34,831 35,839 37,040 38,499 39,365 43,658 83,023 70,670
Sales and marketing expenses 10,230 11,312 10,994 12,645 10,506 12,077 22,583 21,542
General and administrative expenses1 22,421 21,383 22,315 22,979 22,567 54,539 77,107 43,806
Total operating expenses 120,750 123,795 126,171 129,580 128,969 165,219 294,189 244,546
Operating result (EBIT) -14,240 -21,060 -22,544 -35,347 -19,833 -55,466 -75,299 -35,301
EBIT margin -11% -16% -18% -31% -15% -42% -29% -13%
Financial result 4,400 -1,764 2,213 1,480 -279 2,160 1,880 2,638
Result before tax -9,840 -22,824 -20,331 -33,867 -20,112 -53,306 -73,419 -32,663
Income tax expense -1,641 -791 -452 -4,907 -1,378 -1,670 -3,049 -2,432
Net result2 -11,481 -23,615 -20,783 -38,774 -21,490 -54,976 -76,468 -35,095
1 Includes €31 million restructuring charge in Q2 '22 and H1 '22.
2 Net result is fully attributable to equity holders of the parent.
Weighted average number of shares (in thousands)
Basic 129,716 127,335 126,912 126,933 126,991 127,779 127,387 128,519
Diluted 131,194 128,476 128,157 128,392 128,739 129,356 129,180 129,926
Earnings per share (in €)
Basic -0.09 -0.19 -0.16 -0.31 -0.17 -0.43 -0.60 -0.27
Diluted3 -0.09 -0.19 -0.16 -0.31 -0.17 -0.43 -0.60 -0.27
3 When the net result is a loss, no additional shares from assumed conversion are taken into account as the effect would be anti-dilutive.
3. Cons Stat of Comp Income
Consolidated condensed statement of income
Second quarter and half year 2022 results
(€ in thousands) Q2 '22 Unaudited Q2 '21 Unaudited H1 '22 Unaudited H1 '21 Unaudited
NET RESULT -54,976 -23,615 -76,468 -35,095
OTHER COMPREHENSIVE INCOME 1
Items that will not be reclassified to profit or loss
Actuarial gain on defined benefit plans 1,933 1,933
Fair value remeasurement of financial instruments -2,038 2,768 -3,105 4,403
Items that may be subsequently reclassified to profit or loss
Currency translation differences 2,766 -318 5,478 2,003
OTHER COMPREHENSIVE INCOME FOR THE PERIOD 2,661 2,450 4,306 6,406
TOTAL COMPREHENSIVE INCOME FOR THE PERIOD2 -52,315 -21,165 -72,162 -28,689
1 Items of other comprehensive income are presented net of tax (if applicable).
2 Fully attributable to equity holders of the parent.
4. Cons Balance Sheet
Consolidated condensed balance sheet
Second quarter and half year 2022 results
(€ in thousands) 31-Dec-20 31-Mar-21 30-Jun-21 30-Sep-21 31-Dec-21 31-Mar-22 30-Jun-22
Goodwill 192,294 192,294 192,294 192,294 192,294 192,294 192,294
Other intangible assets 117,475 104,403 91,933 80,771 70,478 66,521 58,010
Property, plant and equipment 22,220 22,938 23,186 23,585 26,241 25,199 24,369
Lease assets 43,609 38,909 37,488 33,248 31,488 28,148 27,277
Other contract-related assets 19,130 18,296 17,124 17,909 18,769 20,335 21,470
Other investments 8,733 10,917 14,602 18,533 17,982 16,541 13,795
Deferred tax assets 4,273 4,299 4,287 4,400 4,115 4,066 3,175
Total non-current assets 407,734 392,056 380,914 370,740 361,367 353,104 340,390
Inventories 26,146 23,500 23,554 18,815 19,585 18,872 14,975
Trade receivables 79,661 60,706 65,378 130,234 56,179 65,575 66,134
Unbilled receivables 58,313 73,541 67,809 65,925 67,311 64,472 63,537
Other contract-related assets 6,950 8,003 3,115 4,348 5,049 5,447 7,164
Other receivables and prepayments 26,765 33,617 27,295 23,330 25,429 28,051 24,194
Fixed-term deposits 140,930 121,313 60,000 60,000 150,000 150,000 136,000
Cash and cash equivalents 231,520 230,657 258,908 242,187 205,820 180,652 193,364
Total current assets 570,285 551,337 506,059 544,839 529,373 513,069 505,368
Total assets 978,019 943,393 886,973 915,579 890,740 866,173 845,758
Total equity 387,616 364,950 333,008 317,477 282,723 265,960 218,174
Lease liabilities 28,801 25,116 25,273 21,662 20,004 17,356 17,257
Deferred tax liability 1,344 1,293 1,464 1,342 3,934 3,561 2,907
Provisions 41,014 39,821 37,698 35,862 33,484 32,791 28,369
Deferred revenue 238,793 232,433 219,265 242,272 259,628 266,195 262,247
Total non-current liabilities 309,952 298,663 283,700 301,138 317,050 319,903 310,780
Trade payables 21,998 15,337 21,799 15,374 14,022 12,677 12,676
Lease liabilities 14,872 15,823 14,211 13,513 13,335 12,555 11,717
Provisions 7,918 7,481 6,181 5,518 6,537 7,600 36,714
Deferred revenue 164,913 165,497 158,067 190,956 181,099 173,600 171,965
Other contract-related liabilities 19,084 18,790 18,393 18,506 19,782 19,695 23,926
Income taxes 1,893 2,622 2,427 2,676 1,273 2,511 3,072
Accruals and other liabilities 49,773 54,230 49,187 50,421 54,919 51,672 56,734
Total current liabilities 280,451 279,780 270,265 296,964 290,967 280,310 316,804
Total equity and liabilities 978,019 943,393 886,973 915,579 890,740 866,173 845,758
Additional information:
Deferred revenue breakdown
Automotive 335,611 345,833 341,975 357,184 378,389 389,886 398,096
Enterprise 28,370 17,934 5,073 48,653 36,872 27,205 13,921
Consumer 39,726 34,163 30,284 27,391 25,466 22,704 22,196
Net deferred revenue 403,706 397,930 377,332 433,228 440,727 439,795 434,213
Automotive 16,096 17,618 23,610 14,180 16,561 12,916 15,257
Enterprise 6,500 5,711 6,025 5,533 4,656 3,290 2,090
Netting adjustment to unbilled revenue 22,596 23,329 29,635 19,713 21,218 16,206 17,347
Automotive 351,707 363,451 365,584 371,363 394,950 402,801 413,352
Enterprise 34,870 23,645 11,098 54,186 41,528 30,495 16,011
Consumer 39,726 34,163 30,284 27,391 25,466 22,704 22,196
Gross deferred revenue 426,302 421,259 406,966 452,940 461,944 456,000 451,559
Net cash
Cash and cash equivalents at the end of the period 231,520 230,657 258,908 242,187 205,820 180,652 193,364
Cash placed in fixed term deposits 140,930 121,313 60,000 60,000 150,000 150,000 136,000
Net cash at the end of the period 372,450 351,970 318,908 302,187 355,820 330,652 329,364
5. Cons Stat of CF
Consolidated condensed statement of cash flows
Second quarter and half year 2022 results
(€ in thousands) Q1 '21 Q2 '21 Q3 '21 Q4 '21 Q1 '22 Q2 '22 H1 '22 H1 '21
Operating result -14,240 -21,060 -22,544 -35,347 -19,833 -55,466 -75,299 -35,301
Financial gains/ (losses) 3,084 -970 2,753 3,037 1,392 4,574 5,965 2,114
Depreciation and amortization 21,520 18,756 17,210 16,185 15,244 14,369 29,613 40,276
Change in provisions 759 -4,277 -2,166 -1,790 -590 29,745 29,155 -3,518
Equity-settled stock compensation expenses 1,596 1,457 955 1,926 1,774 2,713 4,487 3,053
Other non-cash movements -154 2 106 -42 -42 -154
Changes in working capital:
Change in inventories 3,217 1,019 4,969 -433 2,876 2,633 5,509 4,236
Change in receivables and prepayments -3,447 12,692 -61,340 69,978 -10,311 152 -10,159 9,245
Change in liabilities (excluding provisions) -11,135 -19,241 50,777 11,888 -6,018 3,108 -2,910 -30,376
Cash flow from operations 1,354 -11,778 -9,384 65,550 -15,466 1,786 -13,681 -10,425
Interest received 39 267 14 6 5 64 69 306
Interest paid -437 -469 -418 -392 -365 -307 -672 -906
Corporate income taxes paid -1,736 -1,078 -1,109 -3,646 -1,107 -345 -1,452 -2,814
Cash flow from operating activities -780 -13,058 -10,897 61,518 -16,933 1,198 -15,736 -13,839
Investments in intangible assets -5,053 -24 -5,077
Investments in property, plant and equipment -3,117 -2,732 -2,612 -4,813 -1,258 -998 -2,256 -5,849
Dividends received 228 138 224 224
Decrease in fixed-term deposits 21,465 61,465 -90,000 14,000 14,000 82,930
Cash flow from investing activities 18,348 58,733 -2,384 -94,675 -6,311 13,202 6,891 77,081
Payment of lease liabilities -3,814 -3,552 -3,741 -3,678 -3,586 -3,599 -7,185 -7,366
Proceeds on issue of ordinary shares 577 3,891 93 1,464 1,650 3,114 4,468
Purchase of treasury shares -17,294 -16,137 -33,431
Cash flow from financing activities -20,531 -15,798 -3,741 -3,585 -2,122 -1,949 -4,071 -36,329
Net increase/(decrease) in cash and cash equivalents -2,963 29,877 -17,022 -36,742 -25,366 12,451 -12,916 26,913
Cash and cash equivalents at the beginning of period 231,520 230,657 258,908 242,187 205,820 180,652 205,820 231,520
Exchange rate changes on cash balances held in foreign currencies 2,100 -1,626 301 375 198 261 460 475
Cash and cash equivalents at the end of the period 230,657 258,908 242,187 205,820 180,652 193,364 193,364 258,908
Reconciliation to net cash
Fixed-term deposits 121,313 60,000 60,000 150,000 150,000 136,000 136,000 60,000
Net cash 351,970 318,908 302,187 355,820 330,652 329,364 329,364 318,908
Additional information:
Free cash flow
Cash flow from operating activities -780 -13,058 -10,897 61,518 -16,933 1,198 -15,736 -13,839
Investments in intangible assets -5,053 -24 -5,077
Investments in property, plant and equipment -3,117 -2,732 -2,612 -4,813 -1,258 -998 -2,256 -5,849
Free cash flow -3,897 -15,790 -13,509 56,705 -23,244 176 -23,069 -19,688
% of revenue -3% -12% -11% 49% -18% 0% -9% -7%
6. Cons Stat of Chang in Equity
Consolidated statement of changes in equity
Second quarter and half year 2022 results
(€ in thousands) Share capital Share premium Treasury shares Other reserves1 Accumulated deficit Total equity
BALANCE AS AT 1 JANUARY 2021 26,473 338,124 -14,312 127,598 -90,267 387,616
COMPREHENSIVE INCOME
Result for the year -35,095 -35,095
OTHER COMPREHENSIVE INCOME²
Currency translation differences 2,003 2,003
Fair value remeasurement of financial instruments 4,403 4,403
TOTAL OTHER COMPREHENSIVE INCOME 6,406 6,406
TOTAL COMPREHENSIVE INCOME 6,406 -35,095 -28,689
TRANSACTIONS WITH OWNERS
Stock compensation related movements 6,767 73 672 7,512
Repurchase of shares -33,431 -33,431
OTHER MOVEMENTS
Transfers between reserves -23,526 23,526
BALANCE AS AT 30 JUNE 2021 26,473 338,124 -40,976 110,551 -101,164 333,008
(€ in thousands) Share capital Share premium Treasury shares Other reserves1 Accumulated deficit Total equity
BALANCE AS AT 1 JANUARY 2022 26,473 338,124 -40,746 99,172 -140,300 282,723
COMPREHENSIVE INCOME
Result for the year -76,468 -76,468
OTHER COMPREHENSIVE INCOME²
Currency translation differences 5,478 5,478
Actuarial gain on defined benefit plans 1,933 1,933
Fair value remeasurement of financial instruments -3,105 -3,105
TOTAL OTHER COMPREHENSIVE INCOME 2,373 1,933 4,306
TOTAL COMPREHENSIVE INCOME 2,373 -74,535 -72,162
TRANSACTIONS WITH OWNERS
Stock compensation related movements 8,028 -3,634 3,219 7,613
OTHER MOVEMENTS
Transfers between reserves -15,412 15,412
BALANCE AS AT 30 JUNE 2022 26,473 338,124 -32,718 82,499 -196,204 218,174
1 Other reserves include the Legal reserve, the Stock compensation reserve, and the Revaluation reserve.
2 The items of other comprehensive Income are presented net of tax (if applicable).
7. Segment Reporting
Segment reporting
Second quarter and half year 2022 results
(€ in millions) H1 '22 H1 '21
Revenue 261.0 264.3
Location Technology 214.7 213.4
External customers 210.5 208.0
Inter-segment 4.2 5.4
Consumer 50.5 56.3
Eliminations -4.2 -5.4
Revenue by nature 261.0 264.3
License revenue 143.6 140.5
Service revenue 81.3 86.2
Sale of goods revenue 36.1 37.6
Revenue by timing of revenue recognition 261.0 264.3
Goods and services transferred at a point in time 48.5 56.7
Goods and services transferred over time 212.5 207.6
EBIT -41.1 -31.9
Location Technology -46.0 -42.8
Consumer 4.9 10.9
EBITDA -11.6 8.2
Location Technology -16.9 -3.2
Consumer 5.3 11.4
Total segment EBIT -41.1 -31.9
Unallocated expenses¹ -34.2 -3.4
Financial income 1.9 2.6
RESULT BEFORE TAX -73.4 -32.7
¹ Unallocated expenses in H1 '22 include restructuring charges for an amount of €31 million.
8. Earnings per share
Earnings per share
Second quarter and half year 2022 results
H1 '22 H1 '21
Earnings (€ in thousands)
Net result attributed to equity holders -76,468 -35,095
Number of shares (in thousands)
Weighted average number of ordinary shares for basic EPS 127,387 128,519
Effect of dilutive potential ordinary shares (in thousands)
Share options and restricted stocks 1,768 1,407
Weighted average number of ordinary shares for diluted EPS 129,180 129,926
9. Shareholders equity
Shareholder's equity
Second quarter and half year 2022 results
30 June 2022 30 June 2022 31 December 2021 31 December 2021
Unaudited Unaudited Audited Audited
Number (€ in thousands) Number (€ in thousands)
Ordinary shares 300,000,000 60,000 300,000,000 60,000
Preferred shares 150,000,000 30,000 150,000,000 30,000
Total authorised 450,000,000 90,000 450,000,000 90,000
Issued and fully paid
Ordinary shares 132,366,672 26,473 132,366,672 26,473
Of which held in treasury 4,242,600 5,417,122
10. Operational performance
Operational performance
Second quarter and half year 2022 results
(€ in thousands) Q1 '21 Q2 '21 Q3 '21 Q4 '21 Q1 '22 Q2 '22
Total IFRS revenue 131,191 133,102 127,469 115,164 128,449 132,578
Automotive 62,654 60,983 52,368 47,063 60,511 59,951
Enterprise 42,142 42,267 42,994 43,513 44,733 45,344
Consumer 26,395 29,853 32,108 24,586 23,205 27,283
Movement of deferred revenue -5,044 -14,293 45,974 9,004 -5,944 -4,441
Automotive 11,744 2,133 5,779 23,587 7,851 10,551
Enterprise -11,225 -12,547 43,088 -12,658 -11,033 -14,484
Consumer -5,563 -3,879 -2,893 -1,925 -2,762 -508
Total operational revenue 126,147 118,809 173,443 124,168 122,505 128,137
Automotive 74,398 63,116 58,147 70,650 68,362 70,502
Enterprise 30,917 29,720 86,082 30,855 33,700 30,860
Consumer 20,832 25,974 29,215 22,661 20,443 26,775
Cost of sales 24,681 30,367 23,842 20,931 19,313 22,825
Operational gross profit 101,466 88,442 149,601 103,237 103,192 105,312
Total cash spend 106,161 111,323 115,314 121,886 123,622 155,471
Operating expenses excluding D&A 99,230 105,039 108,961 113,395 113,725 150,850
CAPEX 3,117 2,732 2,612 4,813 6,311 1,022
Lease payments 3,814 3,552 3,741 3,678 3,586 3,599
Operational result -4,695 -22,881 34,287 -18,649 -20,430 -50,159
Reconciliations:
Operational result to Free Cash Flow (FCF)
Working capital movements -6,321 8,763 -51,568 72,429 -7,509 10,334
Interest and Tax payments -2,134 -1,280 -1,513 -4,032 -1,467 -588
Lease payments 3,814 3,552 3,741 3,678 3,586 3,599
Other non-cash items 5,439 -3,944 1,544 3,279 2,576 36,990
FCF -3,897 -15,790 -13,509 56,705 -23,244 176
FCF to net cash movement
Lease payments -3,814 -3,552 -3,741 -3,678 -3,586 -3,599
Cash flow from other investing and financing activities -16,717 -12,246 228 231 1,464 1,874
Exchange rate differences on cash and fixed-term deposits 3,948 -1,474 301 375 198 261
Net cash movement -20,480 -33,062 -16,721 53,633 -25,168 -1,288
Movement in net cash to movement in cash equivalents
Movement in fixed-term deposits 19,617 61,313 -90,000 14,000
Exchange rate changes on cash balances held in foreign currencies -2,100 1,626 -301 -375 -198 -261
Net increase/(decrease) in cash and cash equivalents -2,963 29,877 -17,022 -36,742 -25,366 12,451

Disclaimer

TomTom NV published this content on 15 July 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 15 July 2022 07:23:03 UTC.


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Sales 2022 511 M 536 M 536 M
Net income 2022 -75,3 M -79,0 M -79,0 M
Net cash 2022 216 M 227 M 227 M
P/E ratio 2022 -9,14x
Yield 2022 -
Capitalization 980 M 1 027 M 1 027 M
EV / Sales 2022 1,49x
EV / Sales 2023 1,43x
Nbr of Employees 4 424
Free-Float 46,9%
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Mean consensus BUY
Number of Analysts 3
Last Close Price 7,65 €
Average target price 9,50 €
Spread / Average Target 24,3%
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Managers and Directors
Harold Goddijn Chief Executive Officer
Taco Titulaer Chief Financial Officer
Derk Johan Haank Chairman-Supervisory Board
Eric Bowman Chief Technical Officer
Jack P. de Kreij Member-Supervisory Board
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