Safran S.A.

SAF.PA · PAR
Analyze with AI
6/30/2025
12/31/2024
6/30/2024
12/31/2023
Valuation
PEG Ratio-0.010.02-3.95-0.75
FCF Yield1.82%2.25%1.96%2.41%
EV / EBITDA37.23-253.5131.3123.09
Quality
ROIC8.23%6.97%-7.25%5.01%
Gross Margin51.08%15.28%50.00%13.03%
Cash Conversion Ratio0.52-3.4738.951.40
Growth
Revenue 3-Year CAGR15.05%7.17%1.49%-2.28%
Free Cash Flow Growth5.64%16.49%6.50%-0.12%
Safety
Net Debt / EBITDA-0.524.24-0.22-0.13
Interest Coverage43.4142.9129.010.00
Efficiency
Inventory Turnover0.700.820.711.38
Cash Conversion Cycle83.15137.2085.92111.89