MaaT Pharma S.A.

MAAT.PA · PAR
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Valuation
PEG Ratio-0.13-0.160.090.04
FCF Yield-21.92%-24.91%-16.77%-25.21%
EV / EBITDA-3.79-3.13-4.220.60
Quality
ROIC-93.63%-57.20%-35.23%-19.35%
Gross Margin61.13%35.19%76.29%82.92%
Cash Conversion Ratio0.760.950.920.88
Growth
Revenue 3-Year CAGR31.02%31.85%121.61%
Free Cash Flow Growth-15.34%-48.96%-62.45%-33.23%
Safety
Net Debt / EBITDA0.160.461.824.38
Interest Coverage-32.75-48.29-67.44-73.50
Efficiency
Inventory Turnover19.537.607.215.03
Cash Conversion Cycle-2,386.96-710.82-4,534.821,314.73