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HARDWARIO

HARDWARIO's net profit fell 296% yoy to CZK -5.90 mil in 2022

By Helgi Library - June 13, 2023

HARDWARIO made a net profit of CZK -5.90 mil with revenues of CZK 29.4 mil in 2022, down by 296% and up by 66.9%, r...

HARDWARIO's employees rose 33.3% yoy to 4.00 in 2022

By Helgi Library - June 13, 2023

HARDWARIO employed 4.00 employees in 2022, up 33.3% compared to the previous year. Historically, between 2017 and 2022,...

HARDWARIO's price/earnings (P/E) remain unchanged yoy at -36.5 in 2022

By Helgi Library - June 13, 2023

HARDWARIO stock traded at CZK 15.0 per share at the end 2022 translating into a market capitalization of USD 9.80 mil. Since the ...

Profit Statement 2024 2025 2026
Sales CZK mil 96.5 155 229
Gross Profit CZK mil 38.2 55.0 80.8
EBITDA CZK mil 19.0 32.0 55.3
EBIT CZK mil 11.8 23.1 46.1
Financing Cost CZK mil 2.54 2.85 3.03
Pre-Tax Profit CZK mil 9.55 20.4 43.2
Net Profit CZK mil 7.01 15.5 33.4
Dividends CZK mil 0 0 0
Balance Sheet 2024 2025 2026
Total Assets CZK mil 147 191 258
Non-Current Assets CZK mil 16.2 17.3 19.4
Current Assets CZK mil 143 204 272
Working Capital CZK mil 52.7 84.0 124
Shareholders' Equity CZK mil 79.2 94.7 128
Liabilities CZK mil 67.6 96.0 130
Total Debt CZK mil 49.2 70.6 95.9
Net Debt CZK mil -23.2 -26.4 -20.5
Ratios 2024 2025 2026
ROE % 9.26 17.9 30.0
ROCE % 11.6 18.3 27.4
Gross Margin % 39.6 35.4 35.3
EBITDA Margin % 19.7 20.6 24.2
EBIT Margin % 12.2 14.9 20.2
Net Margin % 7.26 10.0 14.6
Net Debt/EBITDA -1.22 -0.824 -0.370
Net Debt/Equity % -29.3 -27.8 -16.0
Cost of Financing % 8.43 4.76 3.65
Valuation 2024 2025 2026
Market Capitalisation USD mil 9.80 9.80 9.80
Enterprise Value (EV) USD mil 8.74 8.60 8.87
Number Of Shares mil 14.4 14.4 14.4
Share Price CZK 15.0 15.0 15.0
EV/EBITDA 10.1 5.92 3.52
EV/Sales 1.99 1.22 0.853
Price/Earnings (P/E) 30.8 13.9 6.45
Price/Book Value (P/BV) 2.72 2.28 1.68
Dividend Yield % 0 0 0

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overview Unit 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026
income statement                    
Sales CZK mil   8.16 16.5 20.0 17.6 29.4        
Gross Profit CZK mil   1.36 1.13 6.57 4.07 9.71        
EBIT CZK mil   0.537 1.53 6.02 4.25 -5.92        
Net Profit CZK mil   0.064 0.108 5.00 3.01 -5.90        
                       
ROE % ... 5.20 8.21 96.8 28.8 -14.4        
EBIT Margin % ... 6.58 9.28 30.1 24.1 -20.1        
Net Margin % ... 0.785 0.655 25.0 17.1 -20.1        
Employees   6.00 9.00 5.00 3.00 4.00        
balance sheet                    
Total Assets CZK mil   8.04 18.5 21.6 42.8 89.2        
Non-Current Assets CZK mil   1.71 3.48 2.76 8.60 19.4        
Current Assets CZK mil   6.24 12.6 17.4 33.7 69.6        
                       
Shareholders' Equity CZK mil   1.26 1.37 8.96 11.9 69.9        
Liabilities CZK mil   6.78 17.2 12.7 30.9 18.7        
Non-Current Liabilities CZK mil   0.591 10.8 10.8 9.51 9.16        
Current Liabilities CZK mil   6.19 6.35 1.86 21.3 9.53        
                       
Net Debt/EBITDA   -1.33 3.39 1.39 3.04 30.6        
Net Debt/Equity %   -76.1 528 120 166 -28.0        
Cost of Financing % ... 24.6 19.6 10.2 6.57 5.35        
cash flow                    
Total Cash From Operations CZK mil   -1.57 -6.39 0.906 11.2 4.71        
Total Cash From Investing CZK mil   -1.41 -2.38 -0.900 -8.08 -16.1        
Total Cash From Financing CZK mil   4.30 10.8 -5.63 13.1 34.7        
Net Change In Cash CZK mil   1.32 2.04 -5.63 16.3 29.3        
valuation                    
Market Capitalisation USD mil ... ... ... ... ... 9.80        
Enterprise Value (EV) USD mil ... ... ... ... ... 8.91        
Number Of Shares mil   10.0 10.0 10.0 10.0 14.4        
Share Price CZK ... ... ... ... ... 15.0        
Price/Earnings (P/E) ... ... ... ... ... -36.5        
Price/Cash Earnings (P/CE) ... ... ... ... ... -349        
EV/EBITDA ... ... ... ... ... -307        
Price/Book Value (P/BV) ... ... ... ... ... 3.08        
Dividend Yield % ... ... ... ... ... 0        
income statement Unit 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026
income statement                    
Sales CZK mil   8.16 16.5 20.0 17.6 29.4        
Cost of Goods & Services CZK mil   6.80 15.4 13.4 13.6 19.7        
Gross Profit CZK mil   1.36 1.13 6.57 4.07 9.71        
Staff Cost CZK mil   2.46 3.81 2.72 2.69 5.46        
EBITDA CZK mil   0.723 2.14 7.75 6.52 -0.639        
Depreciation CZK mil   0.186 0.608 1.73 2.26 5.28        
EBIT CZK mil   0.537 1.53 6.02 4.25 -5.92        
Net Financing Cost CZK mil   0.473 1.42 1.02 1.24 0.963        
Financing Cost CZK mil   0.304 1.14 1.13 1.13 0.963        
Financing Income CZK mil   0.074 0.044 0.591 0.077 0        
Extraordinary Cost CZK mil   0 < -0.001 0 0.001 -0.984        
Pre-Tax Profit CZK mil   0.064 0.108 5.00 3.01 -5.90        
Tax CZK mil   0 0 0 0 0        
Minorities CZK mil   0 0 0 0 0        
Net Profit CZK mil   0.064 0.108 5.00 3.01 -5.90        
Net Profit Avail. to Common CZK mil   0.064 0.108 5.00 3.01 -5.90        
Dividends CZK mil   0 0 0 0 0        
growth rates                    
Total Revenue Growth % ... ... 102 21.1 -11.8 66.9        
Staff Cost Growth % ... ... 54.7 -28.5 -1.14 103        
EBITDA Growth % ... ... 196 263 -15.9 -110        
EBIT Growth % ... ... 185 293 -29.3 -239        
Pre-Tax Profit Growth % ... -102 68.8 4,528 -39.8 -296        
Net Profit Growth % ... -102 68.8 4,528 -39.8 -296        
ratios                    
ROE % ... 5.20 8.21 96.8 28.8 -14.4        
ROA % ... 1.14 0.813 24.9 9.34 -8.94        
ROCE % ... 1.50 1.18 32.1 11.7 -14.1        
Gross Margin % ... 16.7 6.82 32.9 23.1 33.0        
EBITDA Margin % ... 8.86 13.0 38.8 37.0 -2.17        
EBIT Margin % ... 6.58 9.28 30.1 24.1 -20.1        
Net Margin % ... 0.785 0.655 25.0 17.1 -20.1        
Payout Ratio %   0 0 0 0 0        
Cost of Financing % ... 24.6 19.6 10.2 6.57 5.35        
Net Debt/EBITDA   -1.33 3.39 1.39 3.04 30.6        
balance sheet Unit 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026
balance sheet                    
Cash & Cash Equivalents CZK mil   1.74 3.58 0.421 3.24 32.5        
Receivables CZK mil   1.30 5.27 8.51 17.1 25.1        
Inventories CZK mil   3.20 3.73 8.47 13.4 12.1        
Other ST Assets CZK mil   0 0 0 0.001 0        
Current Assets CZK mil   6.24 12.6 17.4 33.7 69.6        
Property, Plant & Equipment CZK mil   0.183 0.083 0.063 0.026 8.68        
LT Investments & Receivables CZK mil   0.003 0.003 0.013 0.013 0        
Intangible Assets CZK mil   1.52 3.39 2.69 8.57 10.7        
Goodwill CZK mil   0 0 0 0 0        
Non-Current Assets CZK mil   1.71 3.48 2.76 8.60 19.4        
Total Assets CZK mil   8.04 18.5 21.6 42.8 89.2        
                       
Trade Payables CZK mil   0.356 0.042 1.06 6.41 5.44        
Short-Term Debt CZK mil   0.186 0.007 0.374 13.5 3.78        
Other ST Liabilities CZK mil   5.65 6.30 0.429 1.40 0.315        
Current Liabilities CZK mil   6.19 6.35 1.86 21.3 9.53        
Long-Term Debt CZK mil   0.591 10.8 10.8 9.51 9.16        
Other LT Liabilities CZK mil   0 0 0 0 0        
Non-Current Liabilities CZK mil   0.591 10.8 10.8 9.51 9.16        
Liabilities CZK mil   6.78 17.2 12.7 30.9 18.7        
Preferred Equity and Hybrid Capital CZK mil   0 0 0 0 0        
Share Capital CZK mil   10.0 10.0 10.0 10.0 14.3        
Treasury Stock CZK mil   0 0 0 0 0        
Equity Before Minority Interest CZK mil   1.26 1.37 8.96 11.9 69.9        
Minority Interest CZK mil   0 0 0 0 0        
Equity CZK mil   1.26 1.37 8.96 11.9 69.9        
growth rates                    
Total Asset Growth % ... 155 130 16.8 97.8 108        
Shareholders' Equity Growth % ... 5.34 8.56 554 33.2 486        
Net Debt Growth % ... -171 -853 48.6 84.1 -199        
Total Debt Growth % ... -54.1 1,293 3.39 106 -43.9        
ratios                    
Total Debt CZK mil   0.777 10.8 11.2 23.0 12.9        
Net Debt CZK mil   -0.961 7.24 10.8 19.8 -19.6        
Working Capital CZK mil   4.15 8.96 15.9 24.1 31.7        
Capital Employed CZK mil   5.85 12.4 18.7 32.7 51.1        
Net Debt/Equity %   -76.1 528 120 166 -28.0        
Current Ratio   1.01 1.98 9.35 1.58 7.31        
Quick Ratio   0.490 1.39 4.80 0.954 6.04        
cash flow Unit 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026
cash flow                    
Net Profit CZK mil   0.064 0.108 5.00 3.01 -5.90        
Depreciation CZK mil   0.186 0.608 1.73 2.26 5.28        
Non-Cash Items CZK mil   0.006 < 0.001 -0.121 -0.020 9.73        
Change in Working Capital CZK mil   -1.83 -7.10 -5.71 5.99 -4.40        
Total Cash From Operations CZK mil   -1.57 -6.39 0.906 11.2 4.71        
                       
Capital Expenditures CZK mil   -1.41 -2.38 -0.900 -8.08 -16.1        
Other Investing Activities CZK mil   0 0 0 0 0        
Total Cash From Investing CZK mil   -1.41 -2.38 -0.900 -8.08 -16.1        
                       
Dividends Paid CZK mil   0 0 0 0 0        
Issuance Of Shares CZK mil   0 0 0 0 44.8        
Issuance Of Debt CZK mil   4.30 10.8 -5.63 13.1 -10.1        
Total Cash From Financing CZK mil   4.30 10.8 -5.63 13.1 34.7        
Net Change In Cash CZK mil   1.32 2.04 -5.63 16.3 29.3        
ratios                    
Days Sales Outstanding days   58.2 117 155 355 311        
Days Sales Of Inventory days   172 88.6 231 360 223        
Days Payable Outstanding days   19.1 0.998 28.8 172 101        
Cash Conversion Cycle days   211 204 357 542 434        
Cash Earnings CZK mil   0.250 0.716 6.73 5.27 -0.618        
Free Cash Flow CZK mil   -2.98 -8.77 0.006 3.16 -11.4        
Capital Expenditures (As % of Sales) %   17.3 14.4 4.51 45.8 54.7        
other ratios Unit 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026
                     
Employees   6.00 9.00 5.00 3.00 4.00        
Cost Per Employee USD per month   1,563 1,564 2,063 3,370 5,170        
Cost Per Employee (Local Currency) CZK per month   34,194 35,259 45,400 74,806 113,729        
Staff Cost (As % of Sales) % ... 30.2 23.1 13.6 15.3 18.6        
Effective Tax Rate %   0 0 0 0 0        
Total Revenue Growth (5-year average) % ... ... ... ... ... 73.2        
valuation Unit 2017 2018 2019 2020 2021 2022 2023 2024 2025 2026
                     
Market Capitalisation USD mil ... ... ... ... ... 9.80        
Enterprise Value (EV) USD mil ... ... ... ... ... 8.91        
Number Of Shares mil   10.0 10.0 10.0 10.0 14.4        
Share Price CZK ... ... ... ... ... 15.0        
EV/EBITDA ... ... ... ... ... -307        
Price/Earnings (P/E) ... ... ... ... ... -36.5        
Price/Cash Earnings (P/CE) ... ... ... ... ... -349        
P/FCF ... ... ... ... ... -18.9        
Price/Book Value (P/BV) ... ... ... ... ... 3.08        
Dividend Yield % ... ... ... ... ... 0        
Free Cash Flow Yield % ... ... ... ... ... -5.28        
Earnings Per Share (EPS) CZK   0.006 0.011 0.500 0.301 -0.411        
Cash Earnings Per Share CZK   0.025 0.072 0.673 0.527 -0.043        
Free Cash Flow Per Share CZK   -0.298 -0.877 < 0.001 0.316 -0.793        
Book Value Per Share CZK   0.126 0.137 0.896 1.19 4.86        
Dividend Per Share CZK   0 0 0 0 0        
EV/Sales ... ... ... ... ... 6.66        
EV/EBIT ... ... ... ... ... -33.1        
EV/Free Cash Flow ... ... ... ... ... -17.2        
EV/Capital Employed ... ... ... ... ... 3.83        
Earnings Per Share Growth % ... -102 68.8 4,528 -39.8 -236        
Cash Earnings Per Share Growth % ... -106 186 840 -21.7 -108        
Book Value Per Share Growth % ... 5.34 8.56 554 33.2 308        

Get all company financials in excel:

Download Sample   $19.99

HARDWARIO's ROCE fell 220% yoy to -14.1% in 2022

By Helgi Library - June 21, 2023

HARDWARIO made a net profit of CZK -5.90 mil in 2022, down 296% compared to the previous year. Historically, between 2017 and 2022, the company's net profit reached a high of CZK 5.00 mil in 2020 and a low of CZK -5.90 mil in 2022. The result implies a re...

HARDWARIO's Capital Expenditures fell 99.3% yoy to CZK 16.1 mil in 2022

By Helgi Library - June 13, 2023

HARDWARIO invested a total of CZK 16.1 mil in 2022, up 99.3% compared to the previous year. Historically, between 2017 - 2022, the company's investments stood at a high of CZK 16.1 mil in 2022 and a low of CZK 0 mil in 2017. As a perc...

HARDWARIO's P/FCF remain unchanged yoy at -18.9 in 2022

By Helgi Library - June 13, 2023

HARDWARIO stock traded at CZK 15.0 per share at the end 2022 translating into a market capitalization of USD 9.80 mil. Since the end of 2017, the stock has appreciated by 0% representing an annual average growth of %. At the end of 2022, the firm traded ...

HARDWARIO's Share Price remain unchanged yoy at CZK 15.0 in 2022

By Helgi Library - June 13, 2023

HARDWARIO stock traded at CZK 15.0 per share at the end 2022 implying a market capitalization of USD 9.80 mil. Since the end of 2017, stock has appreciated by % implying an annual average growth of % In absolute terms, the value of the company rose b...

HARDWARIO's Net Debt/EBITDA rose 908% yoy to 30.6 in 2022

By Helgi Library - June 13, 2023

HARDWARIO's net debt stood at CZK -19.6 mil and accounted for -28.0% of equity at the end of 2022. The ratio is down 194 pp compared to the previous year. Historically, the firm’s net debt to equity reached a high of 528% in 2019 and a low of ...

HARDWARIO's Net Margin fell 217% yoy to -20.1% in 2022

By Helgi Library - June 13, 2023

HARDWARIO made a net profit of CZK -5.90 mil with revenues of CZK 29.4 mil in 2022, down by 296% and up by 66.9%, respectively, compared to the previous year. This translates into a net margin of -20.1%. Historically, between 2018 and 2022, the firm...

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Finance

HARDWARIO 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 2026, or of sales. That’s compared to % average margin seen in last five years.

The company netted in 2026 implying ROE of and ROCE of . Again, the average figures were % and %, respectively when looking at the previous 5 years.

HARDWARIO’s net debt amounted to at the end of 2026, 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

HARDWARIO stock traded at per share at the end of 2026 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 2026.