Carlo Gavazzi Holding AG
SIX:GAV
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Intrinsic Value
The intrinsic value of one GAV stock under the Base Case scenario is 248.48 CHF. Compared to the current market price of 199 CHF, Carlo Gavazzi Holding AG is Undervalued by 20%.
The Intrinsic Value is calculated as the average of DCF and Relative values:
Valuation Backtest
Carlo Gavazzi Holding AG
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Fundamental Analysis
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Revenue & Expenses Breakdown
Carlo Gavazzi Holding AG
Balance Sheet Decomposition
Carlo Gavazzi Holding AG
Current Assets | 155.4m |
Cash & Short-Term Investments | 71.3m |
Receivables | 40.2m |
Other Current Assets | 43.9m |
Non-Current Assets | 26.7m |
PP&E | 15.3m |
Intangibles | 6.7m |
Other Non-Current Assets | 4.8m |
Current Liabilities | 33.6m |
Accounts Payable | 12.7m |
Other Current Liabilities | 20.9m |
Non-Current Liabilities | 9.3m |
Long-Term Debt | 4.1m |
Other Non-Current Liabilities | 5.1m |
Earnings Waterfall
Carlo Gavazzi Holding AG
Revenue
|
172.2m
CHF
|
Cost of Revenue
|
-78.2m
CHF
|
Gross Profit
|
94m
CHF
|
Operating Expenses
|
-68.8m
CHF
|
Operating Income
|
25.2m
CHF
|
Other Expenses
|
-6.5m
CHF
|
Net Income
|
18.7m
CHF
|
Free Cash Flow Analysis
Carlo Gavazzi Holding AG
CHF | |
Free Cash Flow | CHF |
GAV Profitability Score
Profitability Due Diligence
Carlo Gavazzi Holding AG's profitability score is 58/100. The higher the profitability score, the more profitable the company is.
Score
Carlo Gavazzi Holding AG's profitability score is 58/100. The higher the profitability score, the more profitable the company is.
GAV Solvency Score
Solvency Due Diligence
Carlo Gavazzi Holding AG's solvency score is 99/100. The higher the solvency score, the more solvent the company is.
Score
Carlo Gavazzi Holding AG's solvency score is 99/100. The higher the solvency score, the more solvent the company is.
Wall St
Price Targets
GAV Price Targets Summary
Carlo Gavazzi Holding AG
According to Wall Street analysts, the average 1-year price target for GAV is 336.6 CHF with a low forecast of 333.3 CHF and a high forecast of 346.5 CHF.
Dividends
Current shareholder yield for GAV is .
Shareholder yield represents the total return a company provides to its shareholders, calculated as the sum of dividend yield, buyback yield, and debt paydown yield. What is shareholder yield?
Profile
Country
Industry
Market Cap
Dividend Yield
Description
Carlo Gavazzi Holding AG engages in the design, manufacture, and marketing of electronic control components for the global industrial automation markets. The company is headquartered in Steinhausen, Zug and currently employs 1,033 full-time employees. The company went IPO on 2000-08-08. The firm is engaged in the design and manufacture of electronic components for the global building and industrial automation markets in its factories in Italy, Lithuania, Malta and China. Its products include sensors, monitoring relays, timers, energy management systems, solid state-relays, electronic motor controllers, safety devices, field bus systems and inverters. The Company’s customers include original equipment manufacturers of packaging machines, plastic-injection molding machines, food and beverage production, conveying and material handling equipment, door and entrance control systems, lifts and escalators as well as heating, ventilation and air conditioning devices. The Company’s products are marketed across Europe, North America and Asia-Pacific through a network of own sales companies and through independent national distributors.
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IPO
Employees
Officers
The intrinsic value of one GAV stock under the Base Case scenario is 248.48 CHF.
Compared to the current market price of 199 CHF, Carlo Gavazzi Holding AG is Undervalued by 20%.