Safran S.A.

SAF.PA · PAR
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Valuation
PEG Ratio1.11-0.080.00-12.15
FCF Yield4.18%5.14%5.91%4.35%
EV / EBITDA16.3215.14-24.7030.89
Quality
ROIC15.12%9.40%7.34%1.39%
Gross Margin47.88%47.40%11.21%6.48%
Cash Conversion Ratio-7.101.24-1.4456.65
Growth
Revenue 3-Year CAGR12.39%16.05%5.49%-15.52%
Free Cash Flow Growth7.30%16.58%47.75%48.84%
Safety
Net Debt / EBITDA-0.27-0.02-0.131.22
Interest Coverage27.9519.9920.517.98
Efficiency
Inventory Turnover1.521.572.352.42
Cash Conversion Cycle293.72244.84239.17276.69