Institutional Sign In

Go

AmRest

AmRest's net profit rose 118% yoy to EUR 32.9 mil in 2021

By Helgi Library - May 7, 2022

AmRest made a net profit of EUR 32.9 mil with revenues of EUR 1,917 mil in 2021, up by 118% and up by 25.9%, respec...

AmRest's employees rose 3.80% yoy to 46,480 in 2021

By Helgi Library - May 8, 2022

AmRest employed 46,480 employees in 2021, up 3.8% compared to the previous year. Historically, between 2007 and 2021, ...

AmRest's price/earnings (P/E) rose 638% yoy to 38.9 in 2021

By Helgi Library - May 8, 2022

AmRest stock traded at EUR 5.82 per share at the end 2021 translating into a market capitalization of USD 1,455 mil. Since the en...

Profit Statement 2023 2024 2025
Sales EUR mil 2,211 2,334 2,382
Gross Profit EUR mil 1,534 1,635 1,548
EBITDA EUR mil 403 430 461
EBIT EUR mil 125 142 191
Financing Cost EUR mil 40.9 40.2 50.0
Pre-Tax Profit EUR mil 81.1 98.6 138
Net Profit EUR mil 53.0 67.2 92.1
Dividends EUR mil 0 0 0
Balance Sheet 2023 2024 2025
Total Assets EUR mil 2,596 2,689 2,786
Non-Current Assets EUR mil 2,267 2,352 2,442
Current Assets EUR mil 329 337 344
Working Capital EUR mil 14.2 15.7 17.3
Shareholders' Equity EUR mil 397 464 556
Liabilities EUR mil 2,208 2,234 2,239
Total Debt EUR mil 1,498 1,503 1,508
Net Debt EUR mil 1,294 1,299 1,304
Ratios 2023 2024 2025
ROE % 14.3 15.6 18.1
ROCE % 2.48 2.89 3.82
Gross Margin % 69.4 70.1 65.0
EBITDA Margin % 18.2 18.4 19.3
EBIT Margin % 5.65 6.07 8.02
Net Margin % 2.40 2.88 3.87
Net Debt/EBITDA 3.21 3.02 2.83
Net Debt/Equity % 326 280 234
Cost of Financing % 2.73 2.68 3.32
Valuation 2023 2024 2025
Market Capitalisation USD mil 948 948 948
Enterprise Value (EV) USD mil 2,466 2,472 2,478
Number Of Shares mil 220 220 220
Share Price EUR 3.68 3.68 3.68
EV/EBITDA 5.22 4.90 4.59
EV/Sales 0.951 0.903 0.887
Price/Earnings (P/E) 15.3 12.0 8.78
Price/Book Value (P/BV) 2.04 1.74 1.45
Dividend Yield % 0 0 0

Get all company financials in excel:

Download Sample   $19.99

overview Unit 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
income statement                                            
Sales EUR mil ...                           1,547 1,962 1,523 1,917 2,070      
Gross Profit EUR mil ... ...                         634 1,364 1,055 1,342 1,449      
EBIT EUR mil ...                           71.6 106 -143 103 106      
Net Profit EUR mil ...                           43.0 65.1 -182 32.9 36.4      
                                               
ROE % ...                           11.4 14.4 -49.1 11.5 11.2      
EBIT Margin % ...                           4.63 5.38 -9.36 5.38 5.13      
Net Margin % ...                           2.78 3.32 -12.0 1.72 1.76      
Employees ... ... ...                       48,846 51,804 44,780 46,480 ... ... ... ...
balance sheet                                            
Total Assets EUR mil ...                           1,442 2,435 2,114 2,175 2,307      
Non-Current Assets EUR mil ... ...   ... ...                   1,200 2,170 1,803 1,859 1,985      
Current Assets EUR mil ...                           242 265 312 316 322      
                                               
Shareholders' Equity EUR mil ...                           431 477 265 308 344      
Liabilities EUR mil ...                           1,011 1,958 1,850 1,867 1,972      
Non-Current Liabilities EUR mil ...                           751 1,459 1,372 1,288 1,575      
Current Liabilities EUR mil ...                           260 499 478 579 397      
                                               
Net Debt/EBITDA ...                           3.33 4.16 12.0 3.79 3.40      
Net Debt/Equity % ...                           127 310 501 419 375      
Cost of Financing % ... ...                         2.39 3.87 3.02 2.70 2.81      
cash flow                                            
Total Cash From Operations EUR mil ...                           151 308 160 338 -152      
Total Cash From Investing EUR mil ...                           -421 -220 11.7 -96.6 147      
Total Cash From Financing EUR mil ...                           255 -99.7 -76.4 -252 5.00      
Net Change In Cash EUR mil ...                           -12.8 -12.2 98.6 -6.10 0      
valuation                                            
Market Capitalisation USD mil                             2,337 2,565 1,608 1,455 948      
Enterprise Value (EV) USD mil ...                           2,962 4,222 3,230 2,921 2,460      
Number Of Shares mil                             214 221 219 220 220      
Share Price EUR                             9.29 10.3 6.00 5.82 3.68      
Price/Earnings (P/E) ...                           46.5 35.1 -7.23 38.9 22.2      
Price/Cash Earnings (P/CE) ...     ... ...                   16.1 7.61 22.6 4.96 2.61      
EV/EBITDA ...                           15.5 10.5 24.9 7.17 5.53      
Price/Book Value (P/BV) ...                           4.61 4.80 4.97 4.16 2.35      
Dividend Yield % ... ... ... ...                     0 0 0 0 0      
income statement Unit 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
income statement                                            
Sales EUR mil ...                           1,547 1,962 1,523 1,917 2,070      
Cost of Goods & Services EUR mil ... ...                         913 598 468 575 621      
Gross Profit EUR mil ... ...                         634 1,364 1,055 1,342 1,449      
Selling, General & Admin EUR mil ... ... ... ...                     108 135 131 128 ... ... ... ...
Research & Development EUR mil ... ... ... ... ...                   0 0 0 0 ... ... ... ...
Other Operating Expense EUR mil ... ... ... ... ...                   1,274 1,468 1,275 1,448 ... ... ... ...
Staff Cost EUR mil ...                           357 470 410 460 ... ... ... ...
Other Operating Cost (Income) EUR mil ...                           ... ... ... ... ... ... ... ...
EBITDA EUR mil ...                           164 355 111 340 379      
Depreciation EUR mil ...     ... ...                   80.3 235 240 225 273      
EBIT EUR mil ...                           71.6 106 -143 103 106      
Net Financing Cost EUR mil ... ... ... ...                     12.8 9.70 45.0 38.0 44.9      
Financing Cost EUR mil ... ...                         13.6 43.5 47.1 40.8 41.9      
Financing Income EUR mil ... ...   ...                     0.800 33.8 2.10 2.80 3.00      
FX (Gain) Loss EUR mil ... ...   ...                     0.900 0 0.300 0 ... ... ... ...
(Income) / Loss from Affiliates EUR mil ... ...                         0 0 0 0 ... ... ... ...
Extraordinary Cost EUR mil ...                           0 0 0 0 ... ... ... ...
Pre-Tax Profit EUR mil ...                           57.5 93.4 -201 57.9 61.3      
Tax EUR mil ...                           16.2 26.5 -17.7 22.5 21.8      
Minorities EUR mil ...                           -1.70 1.80 -1.70 2.50 3.00      
Net Profit EUR mil ...                           43.0 65.1 -182 32.9 36.4      
Net Profit Avail. to Common EUR mil ...                           43.0 65.1 -182 32.9 36.4      
Dividends EUR mil ... ... ... ...                     0 0 0 0 0      
growth rates                                            
Total Revenue Growth % ... ...                         25.0 26.8 -22.4 25.9 7.97      
Operating Cost Growth % ... ...                         24.6 25.8 -10.3 8.92 ... ... ... ...
Staff Cost Growth % ... ...                         26.7 31.5 -12.8 12.3 ... ... ... ...
EBITDA Growth % ... ...                         16.6 117 -68.8 207 11.5      
EBIT Growth % ... ...                         14.2 47.5 -235 -172 3.02      
Pre-Tax Profit Growth % ... ...                         16.2 62.4 -316 -129 5.83      
Net Profit Growth % ... ...                         0.401 51.4 -380 -118 10.7      
ratios                                            
ROE % ...                           11.4 14.4 -49.1 11.5 11.2      
ROA % ...                           3.47 3.36 -8.00 1.53 1.63      
ROCE % ... ... ... ... ... ...                 4.41 3.86 -9.11 1.79 1.88      
Gross Margin % ... ...                         41.0 69.5 69.3 70.0 70.0      
EBITDA Margin % ...                           10.6 18.1 7.28 17.7 18.3      
EBIT Margin % ...                           4.63 5.38 -9.36 5.38 5.13      
Net Margin % ...                           2.78 3.32 -12.0 1.72 1.76      
Payout Ratio % ... ... ... ...                     0 0 0 0 0      
Cost of Financing % ... ...                         2.39 3.87 3.02 2.70 2.81      
Net Debt/EBITDA ...                           3.33 4.16 12.0 3.79 3.40      
balance sheet Unit 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
balance sheet                                            
Cash & Cash Equivalents EUR mil ... ... ... ... ...                   118 106 205 199 199      
Receivables EUR mil ...                           55.5 105 60.4 67.9 71.3      
Inventories EUR mil ...                           25.7 29.9 26.5 33.1 35.4      
Other ST Assets EUR mil ...                           42.2 24.1 19.9 16.2 17.0      
Current Assets EUR mil ...                           242 265 312 316 322      
Property, Plant & Equipment EUR mil ...                           501 1,438 1,185 1,232 1,293      
LT Investments & Receivables EUR mil ... ...   ... ...                   32.1 81.4 4.90 4.80 4.80      
Intangible Assets EUR mil ...                           618 604 553 554 570      
Goodwill EUR mil ... ...                         357 350 312 317 317      
Non-Current Assets EUR mil ... ...   ... ...                   1,200 2,170 1,803 1,859 1,985      
Total Assets EUR mil ...                           1,442 2,435 2,114 2,175 2,307      
                                               
Trade Payables EUR mil ...                           100 111 86.2 89.4 93.9      
Short-Term Debt EUR mil ...                           6.60 209 239 282 287      
Other ST Liabilities EUR mil ...                           11.2 11.8 16.4 16.7 16.7      
Current Liabilities EUR mil ...                           260 499 478 579 397      
Long-Term Debt EUR mil ...                           658 1,375 1,293 1,206 1,206      
Other LT Liabilities EUR mil ...                           93.7 84.0 78.5 82.4 82.4      
Non-Current Liabilities EUR mil ...                           751 1,459 1,372 1,288 1,575      
Liabilities EUR mil ...                           1,011 1,958 1,850 1,867 1,972      
Preferred Equity and Hybrid Capital EUR mil ...                           0 0 0 0 0      
Share Capital EUR mil ...                           258 258 258 258 258      
Treasury Stock EUR mil ... ... ... ...                     15.2 7.50 6.50 4.00 4.00      
Equity Before Minority Interest EUR mil ...                           421 467 258 299 335      
Minority Interest EUR mil ...                           9.90 9.50 6.90 8.80 8.80      
Equity EUR mil ...                           431 477 265 308 344      
growth rates                                            
Total Asset Growth % ... ...                         39.4 68.9 -13.2 2.86 6.09      
Shareholders' Equity Growth % ... ...                         33.6 10.7 -44.5 16.2 11.8      
Net Debt Growth % ... ...                         59.3 171 -10.2 -2.91 0.016      
Total Debt Growth % ... ...                         40.2 139 -3.28 -2.92 0.336      
ratios                                            
Total Debt EUR mil ...                           664 1,584 1,532 1,488 1,493      
Net Debt EUR mil ...                           546 1,478 1,327 1,289 1,289      
Working Capital EUR mil ...                           -19.1 23.1 0.700 11.6 12.8      
Capital Employed EUR mil ... ...   ... ...                   1,181 2,193 1,804 1,871 1,998      
Net Debt/Equity % ...                           127 310 501 419 375      
Current Ratio ...                           0.930 0.531 0.652 0.545 0.811      
Quick Ratio ... ... ... ... ...                   0.669 0.423 0.555 0.460 0.679      
cash flow Unit 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
cash flow                                            
Net Profit EUR mil ...                           43.0 65.1 -182 32.9 36.4      
Depreciation EUR mil ...     ... ...                   80.3 235 240 225 273      
Non-Cash Items EUR mil ...                           8.30 -10.8 75.2 42.5 -460      
Change in Working Capital EUR mil ...                           7.40 4.70 13.6 25.7 -1.24      
Total Cash From Operations EUR mil ...                           151 308 160 338 -152      
                                               
Capital Expenditures EUR mil ... ... ... ... ...                   -150 -196 -83.8 -96.6 147      
Net Change in LT Investment EUR mil ...                           -25.0 0 95.5 0 ... ... ... ...
Net Cash From Acquisitions EUR mil ... ... ... ... ...                   -247 -24.1 0 0 ... ... ... ...
Other Investing Activities EUR mil ...                           0 0 0 0 0      
Total Cash From Investing EUR mil ...                           -421 -220 11.7 -96.6 147      
                                               
Dividends Paid EUR mil ...                           0 -1.40 -0.800 -1.30 0      
Issuance Of Shares EUR mil ...                           59.7 0 0.600 0 0      
Issuance Of Debt EUR mil ...                           193 -92.5 -76.2 -248 5.00      
Other Financing Activities EUR mil ...                           2.10 -5.80 0 -2.70 ... ... ... ...
Total Cash From Financing EUR mil ...                           255 -99.7 -76.4 -252 5.00      
                                               
Effect of FX Rates EUR mil ... ... ... ... ...                   2.50 -0.800 3.10 4.00 ... ... ... ...
Net Change In Cash EUR mil ...                           -12.8 -12.2 98.6 -6.10 0      
ratios                                            
Days Sales Outstanding days ...                           13.1 19.5 14.5 12.9 12.6      
Days Sales Of Inventory days ... ...                         10.3 18.3 20.7 21.0 20.8      
Days Payable Outstanding days ... ...                         40.1 68.1 67.3 56.7 55.2      
Cash Conversion Cycle days ... ...                         -16.7 -30.3 -32.1 -22.8 -21.8      
Cash Earnings EUR mil ...     ... ...                   123 301 58.3 258 309      
Free Cash Flow EUR mil ...                           -270 88.3 172 241 -5.00      
Capital Expenditures (As % of Sales) % ... ... ... ... ...                   9.66 9.99 5.50 5.04 -7.10      
other ratios Unit 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
                                             
Employees ... ... ...                       48,846 51,804 44,780 46,480 ... ... ... ...
Cost Per Employee USD per month ... ... ...                       714 856 892 987 ... ... ... ...
Cost Per Employee (Local Currency) EUR per month ... ... ...                       609 755 762 825 ... ... ... ...
Operating Cost (As % of Sales) % ...                           95.4 94.6 109 94.6 ... ... ... ...
Research & Development (As % of Sales) % ... ... ... ... ...                   0 0 0 0 ... ... ... ...
Staff Cost (As % of Sales) % ...                           23.1 23.9 26.9 24.0 ... ... ... ...
Effective Tax Rate % ...                           28.2 28.4 8.79 38.9 35.6      
Total Revenue Growth (5-year average) % ... ... ... ... ... ...                 19.2 22.7 13.8 14.7 10.8      
Total Revenue Growth (10-year average) % ... ... ... ... ... ... ... ... ... ... ...       14.4 15.5 11.6 15.2 13.9      
valuation Unit 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
                                             
Market Capitalisation USD mil                             2,337 2,565 1,608 1,455 948      
Enterprise Value (EV) USD mil ...                           2,962 4,222 3,230 2,921 2,460      
Number Of Shares mil                             214 221 219 220 220      
Share Price EUR                             9.29 10.3 6.00 5.82 3.68      
EV/EBITDA ...                           15.5 10.5 24.9 7.17 5.53      
Price/Earnings (P/E) ...                           46.5 35.1 -7.23 38.9 22.2      
Price/Cash Earnings (P/CE) ...     ... ...                   16.1 7.61 22.6 4.96 2.61      
P/FCF ...                           -7.35 25.9 7.66 5.30 -162      
Price/Book Value (P/BV) ...                           4.61 4.80 4.97 4.16 2.35      
Dividend Yield % ... ... ... ...                     0 0 0 0 0      
Free Cash Flow Yield % ...                           -13.5 3.90 12.5 19.9 -0.619      
Earnings Per Share (EPS) EUR ...                           0.200 0.294 -0.830 0.150 0.166      
Cash Earnings Per Share EUR ...     ... ...                   0.577 1.36 0.266 1.17 1.41      
Free Cash Flow Per Share EUR ...                           -1.26 0.399 0.784 1.10 -0.023      
Book Value Per Share EUR ...                           2.01 2.15 1.21 1.40 1.56      
Dividend Per Share EUR ... ... ... ...                     0 0 0 0 0      
EV/Sales ...                           1.64 1.90 1.81 1.27 1.01      
EV/EBIT ...                           35.3 35.3 -19.4 23.7 19.7      
EV/Free Cash Flow ...                           -9.36 42.2 16.1 10.1 -419      
EV/Capital Employed ... ...   ... ...                   2.19 1.72 1.47 1.37 1.05      
Earnings Per Share Growth % ... ...                         -0.935 47.0 -382 -118 10.7      
Cash Earnings Per Share Growth % ... ...   ... ... ...                 10.7 135 -80.4 341 20.0      
Book Value Per Share Growth % ... ...                         32.6 6.82 -43.9 15.9 11.8      

Get all company financials in excel:

Download Sample   $19.99

AmRest's Capital Expenditures fell 15.3% yoy to EUR 96.6 mil in 2021

By Helgi Library - May 7, 2022

AmRest invested a total of EUR 96.6 mil in 2021, up 15.3% compared to the previous year. Historically, between 2009 - 2021, the company's investments stood at a high of EUR 196 mil in 2019 and a low of EUR 9.05 mil in 2012. As a perce...

AmRest's P/FCF fell 30.8% yoy to 5.30 in 2021

By Helgi Library - May 7, 2022

AmRest stock traded at EUR 5.82 per share at the end 2021 translating into a market capitalization of USD 1,455 mil. Since the end of 2016, the stock has depreciated by 13.2% representing an annual average growth of -2.80%. At the end of 2021, the firm t...

AmRest's ROCE rose 120% yoy to 1.79% in 2021

By Helgi Library - May 7, 2022

AmRest made a net profit of EUR 32.9 mil in 2021, up 118% compared to the previous year. Historically, between 2005 and 2021, the company's net profit reached a high of EUR 65.1 mil in 2019 and a low of EUR -182 mil in 2020. The result implies a return on...

AmRest's Net Margin rose 114% yoy to 1.72% in 2021

By Helgi Library - May 7, 2022

AmRest made a net profit of EUR 32.9 mil with revenues of EUR 1,917 mil in 2021, up by 118% and up by 25.9%, respectively, compared to the previous year. This translates into a net margin of 1.72%. Historically, between 2005 and 2021, the firm’s n...

AmRest's Share Price fell 3.03% yoy to EUR 5.82 in 2021

By Helgi Library - May 7, 2022

AmRest stock traded at EUR 5.82 per share at the end 2021 implying a market capitalization of USD 1,455 mil. Since the end of 2016, stock has appreciated by -13.2% implying an annual average growth of -2.80% In absolute terms, the value of the company fe...

AmRest's Net Debt/EBITDA fell 68.3% yoy to 3.79 in 2021

By Helgi Library - May 7, 2022

AmRest's net debt stood at EUR 1,289 mil and accounted for 419% of equity at the end of 2021. The ratio is down 82.4 pp compared to the previous year. Historically, the firm’s net debt to equity reached a high of 501% in 2020 and a low of 18....

More News

Finance

AmRest has been growing its sales by a year on average in the last 5 years. EBITDA has grown by 0% during that time to total of in 2025, or of sales. That’s compared to % average margin seen in last five years.

The company netted in 2025 implying ROE of and ROCE of . Again, the average figures were % and %, respectively when looking at the previous 5 years.

AmRest’s net debt amounted to at the end of 2025, or of equity. When compared to EBITDA, net debt was x, up when compared to average of x seen in the last 5 years.

Valuation

AmRest stock traded at per share at the end of 2025 resulting in a market capitalization of . Over the previous five years, stock price grew by 0% or % a year on average. The closing price put stock at a 12-month trailing EV/EBITDA of x and price to earnings (PE) of x as of 2025.

More Companies in Polish Food & Drink Sector