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Isolit-Bravo

Isolit-Bravo's net profit rose 23.9% yoy to CZK 70.7 mil in 2023

By Helgi Library - April 22, 2025

Isolit-Bravo made a net profit of CZK 70.7 mil with revenues of CZK 768 mil in 2023, up by 23.9% and down by 3.73%, ...

Isolit-Bravo's ROCE rose 18.9% yoy to 11.4% in 2023

By Helgi Library - April 22, 2025

Isolit-Bravo made a net profit of CZK 70.7 mil in 2023, up 23.9% compared to the previous year. Historically, between 2000 a...

Isolit-Bravo's employees fell 10.9% yoy to 419 in 2019

By Helgi Library - September 17, 2020

Isolit-Bravo employed 419 employees in 2019, down 10.9% compared to the previous year. Historically, between 1999 and 2...

Profit Statement 2021 2022 2023
Sales CZK mil 721 798 768
Gross Profit CZK mil 250 260 288
EBITDA CZK mil 129 98.8 92.7
EBIT CZK mil 88.9 63.5 55.2
Financing Cost CZK mil ... ... ...
Pre-Tax Profit CZK mil 77.6 68.9 90.8
Net Profit CZK mil 70.3 57.0 70.7
Dividends CZK mil 60.0 60.3 ...
Balance Sheet 2021 2022 2023
Total Assets CZK mil 1,434 1,439 1,443
Non-Current Assets CZK mil 228 221 223
Current Assets CZK mil 1,204 1,215 1,217
Working Capital CZK mil 333 411 389
Shareholders' Equity CZK mil 1,190 1,188 1,198
Liabilities CZK mil 244 251 244
Total Debt CZK mil 0.816 1.39 1.26
Net Debt CZK mil -826 -742 -793
Ratios 2021 2022 2023
ROE % 5.92 4.80 5.92
ROCE % 11.9 9.55 11.4
Gross Margin % 34.7 32.6 37.4
EBITDA Margin % 17.9 12.4 12.1
EBIT Margin % 12.3 7.96 7.19
Net Margin % 9.75 7.15 9.20
Net Debt/EBITDA -6.38 -7.51 -8.55
Net Debt/Equity % -69.4 -62.5 -66.2
Cost of Financing % ... ... ...
Cash Flow 2021 2022 2023
Total Cash From Operations CZK mil 42.2 4.42 147
Total Cash From Investing CZK mil -8.47 -27.6 -36.0
Total Cash From Financing CZK mil -60.1 -60.0 -60.3
Net Change In Cash CZK mil -26.3 -83.1 50.4
Cash Conversion Cycle days 221 242 249
Cash Earnings CZK mil 111 92.4 108
Free Cash Flow CZK mil 33.8 -23.1 111

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overview Unit 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
income statement                                                  
Sales CZK mil                                     1,061 928 846 704 721    
Gross Profit CZK mil                                     472 413 375 280 250    
EBIT CZK mil                                     171 105 147 89.5 88.9    
Net Profit CZK mil ...                                   99.4 104 106 105 70.3    
                                                     
ROE %                                     8.65 10.4 9.88 9.22 5.92    
EBIT Margin %                                     16.1 11.3 17.4 12.7 12.3    
Net Margin %                                     9.36 11.2 12.6 15.0 9.75    
Employees                                     507 470 419 350 286    
balance sheet                                                  
Total Assets CZK mil                                     1,417 1,435 1,441 1,518 1,434    
Non-Current Assets CZK mil                                     435 375 324 273 228    
Current Assets CZK mil                                     980 1,057 1,114 1,244 1,204    
                                                     
Shareholders' Equity CZK mil                                     949 1,052 1,099 1,187 1,190    
Liabilities CZK mil                                     468 384 342 331 244    
Non-Current Liabilities CZK mil                                     37.9 29.1 24.3 19.9 18.3    
Current Liabilities CZK mil                                     129 74.1 69.4 66.3 62.8    
                                                     
Net Debt/EBITDA                                     -2.54 -3.71 -3.25 -5.72 -6.38    
Net Debt/Equity %                                     -64.9 -65.2 -65.5 -72.4 -69.4    
Cost of Financing % ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... 0 0 ... ... ... ...
cash flow                                                  
Total Cash From Operations CZK mil ...                                   224 115 110 165 42.2    
Total Cash From Investing CZK mil ...                                   -21.0 -54.1 -22.3 -8.12 -8.47    
Total Cash From Financing CZK mil ...                                   -501 -0.600 -58.8 -17.8 -60.1    
Net Change In Cash CZK mil ...                                   -297 60.5 29.1 139 -26.3    
income statement Unit 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
income statement                                                  
Sales CZK mil                                     1,061 928 846 704 721    
Cost of Goods & Services CZK mil                                     590 515 472 424 471    
Gross Profit CZK mil                                     472 413 375 280 250    
Staff Cost CZK mil                                     252 237 215 170 163    
Other Operating Cost (Income) CZK mil                                     -22.8 -8.61 -62.4 -40.5 -42.2    
EBITDA CZK mil                                     242 185 222 150 129    
Depreciation CZK mil ...                                   71.6 79.7 74.8 60.8 40.6    
EBIT CZK mil                                     171 105 147 89.5 88.9    
Net Financing Cost CZK mil                                     38.1 -13.0 21.0 -30.6 11.3    
Financing Cost CZK mil ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... 0 0 ... ... ... ...
Financing Income CZK mil ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... 0.431 0.607 2.41 1.82 2.31    
Extraordinary Cost CZK mil                                     0 0 0 0 0    
Pre-Tax Profit CZK mil                                     133 118 126 120 77.6    
Tax CZK mil                                     33.4 14.1 19.8 14.8 7.25    
Net Profit CZK mil ...                                   99.4 104 106 105 70.3    
Net Profit Avail. to Common CZK mil                                     99.4 104 106 105 70.3    
Dividends CZK mil                                     0.500 59.0 17.7 60.0 60.0   ...
growth rates                                                  
Total Revenue Growth % ...                                   -6.05 -12.6 -8.80 -16.8 2.45    
Staff Cost Growth % ...                                   -5.64 -6.02 -9.18 -21.1 -3.91    
EBITDA Growth % ...                                   20.5 -23.8 20.1 -32.3 -13.9    
EBIT Growth % ...                                   32.2 -38.5 40.0 -39.1 -0.646    
Pre-Tax Profit Growth % ...                                   2.95 -11.0 6.76 -4.72 -35.4    
Net Profit Growth % ...                                   -4.53 4.65 2.22 -0.880 -33.2    
ratios                                                  
ROE %                                     8.65 10.4 9.88 9.22 5.92    
ROA %                                     6.27 7.29 7.39 7.12 4.76    
ROCE %                                     13.1 14.5 15.2 16.2 11.9    
Gross Margin %                                     44.4 44.5 44.3 39.7 34.7    
EBITDA Margin %                                     22.8 19.9 26.2 21.4 17.9    
EBIT Margin %                                     16.1 11.3 17.4 12.7 12.3    
Net Margin %                                     9.36 11.2 12.6 15.0 9.75    
Payout Ratio %                                     0.503 56.7 16.6 57.0 85.3   ...
Cost of Financing % ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... 0 0 ... ... ... ...
Net Debt/EBITDA                                     -2.54 -3.71 -3.25 -5.72 -6.38    
balance sheet Unit 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
balance sheet                                                  
Cash & Cash Equivalents CZK mil                                     620 680 709 849 822    
Receivables CZK mil                                     172 187 214 182 138    
Inventories CZK mil                                     188 190 191 213 243    
Other ST Assets CZK mil                                     0 0 0 0 0    
Current Assets CZK mil                                     980 1,057 1,114 1,244 1,204    
Property, Plant & Equipment CZK mil                                     423 360 305 251 215    
LT Investments & Receivables CZK mil                                     9.96 11.2 11.5 11.7 5.08    
Intangible Assets CZK mil                                     1.42 3.40 8.04 10.1 8.12    
Goodwill CZK mil                                     0 0 0 0 0    
Non-Current Assets CZK mil                                     435 375 324 273 228    
Total Assets CZK mil                                     1,417 1,435 1,441 1,518 1,434    
                                                     
Trade Payables CZK mil                                     79.2 32.9 46.1 50.0 48.0    
Short-Term Debt CZK mil                                     13.5 5.97 0.495 0.517 0.816    
Other ST Liabilities CZK mil                                     36.4 35.3 22.8 15.8 14.0    
Current Liabilities CZK mil                                     129 74.1 69.4 66.3 62.8    
Long-Term Debt CZK mil                                     0 0 0 0 0    
Other LT Liabilities CZK mil                                     37.9 29.1 24.3 19.9 18.3    
Non-Current Liabilities CZK mil                                     37.9 29.1 24.3 19.9 18.3    
Liabilities CZK mil                                     468 384 342 331 244    
Equity Before Minority Interest CZK mil                                     949 1,052 1,099 1,187 1,190    
Minority Interest CZK mil                                     0 0 0 0 0    
Equity CZK mil                                     949 1,052 1,099 1,187 1,190    
growth rates                                                  
Total Asset Growth % ...                                   -19.2 1.31 0.412 5.34 -5.53    
Shareholders' Equity Growth % ...                                   -29.7 10.9 4.50 7.98 0.307    
Net Debt Growth % ...                                   -33.5 11.2 5.09 19.4 -3.87    
Total Debt Growth % ... ... ... ... ... ... ... ... ... ... ... ... ... ... ...       ... -55.9 -91.7 4.44 57.8    
ratios                                                  
Total Debt CZK mil                                     13.5 5.97 0.495 0.517 0.816    
Net Debt CZK mil                                     -616 -685 -720 -860 -826    
Working Capital CZK mil                                     281 344 359 345 333    
Capital Employed CZK mil                                     716 719 683 618 562    
Net Debt/Equity %                                     -64.9 -65.2 -65.5 -72.4 -69.4    
Current Ratio                                     7.59 14.3 16.1 18.7 19.2    
Quick Ratio                                     6.13 11.7 13.3 15.5 15.3    
cash flow Unit 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
cash flow                                                  
Net Profit CZK mil ...                                   99.4 104 106 105 70.3    
Depreciation CZK mil ...                                   71.6 79.7 74.8 60.8 40.6    
Non-Cash Items CZK mil ...                                   -26.0 -5.49 -56.1 -15.0 -80.2    
Change in Working Capital CZK mil ...                                   79.2 -63.0 -15.0 14.0 11.5    
Total Cash From Operations CZK mil ...                                   224 115 110 165 42.2    
                                                     
Capital Expenditures CZK mil ...                                   -21.1 -61.2 -23.3 -8.28 -8.68    
Total Cash From Investing CZK mil ...                                   -21.0 -54.1 -22.3 -8.12 -8.47    
                                                     
Dividends Paid CZK mil ...                                   -501 -0.500 -59.0 -17.7 -60.0    
Issuance Of Shares CZK mil ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... 0 0 ... ... ... ...
Issuance Of Debt CZK mil ...                                   0 -7.55 -5.47 ... ... ... ...
Other Financing Activities CZK mil ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... 7.45 5.68 ... ... ... ...
Total Cash From Financing CZK mil ...                                   -501 -0.600 -58.8 -17.8 -60.1    
Net Change In Cash CZK mil ...                                   -297 60.5 29.1 139 -26.3    
ratios                                                  
Days Sales Outstanding days                                     59.2 73.4 92.3 94.2 70.0    
Days Sales Of Inventory days                                     116 135 148 184 189    
Days Payable Outstanding days                                     49.0 23.3 35.7 43.0 37.2    
Cash Conversion Cycle days                                     127 185 204 235 221    
Cash Earnings CZK mil                                     171 184 181 166 111    
Free Cash Flow CZK mil ...                                   203 61.1 87.9 157 33.8    
Capital Expenditures (As % of Sales) % ...                                   1.98 6.59 2.76 1.18 1.20    
other ratios Unit 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
                                                   
Employees                                     507 470 419 350 286    
Cost Per Employee USD per month                                     1,766 1,920 1,899 1,837 2,194    
Cost Per Employee (Local Currency) CZK per month                                     41,442 42,016 42,802 40,420 47,531    
Staff Cost (As % of Sales) %                                     23.8 25.5 25.4 24.1 22.6    
Effective Tax Rate %                                     25.1 11.9 15.7 12.3 9.35    
Total Revenue Growth (5-year average) % ... ... ... ... ...                           6.95 0.203 -5.88 -10.2 -8.59    
Total Revenue Growth (10-year average) % ... ... ... ... ... ... ... ... ... ...                 -3.26 -2.75 -0.524 -2.01 0.172    
Sales of Products from Plastics CZK mil                                   ... ... ... ... ... ... ... ...
Sales of Products from Devices CZK mil                                   ... ... ... ... ... ... ... ...
Sales Assembly & Kitchen Appliances CZK mil                                   ... ... ... ... ... ... ... ...
Plastics (As % of Sales) CZK mil                                   ... ... ... ... ... ... ... ...
Devices (As % of Sales) CZK mil                                   ... ... ... ... ... ... ... ...
Assembly & Kitchen Appliances (As % of Sales) CZK mil                                   ... ... ... ... ... ... ... ...

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Isolit-Bravo's net profit rose 2.22% yoy to CZK 106 mil in 2019

By Helgi Library - September 17, 2020

Isolit-Bravo made a net profit of CZK 106 mil in 2019, up 2.22% compared to the previous year. Total sales reached CZK 846 mil, which is down 8.800000000000001% when compared to the previous year. Historically, between 1999 and 2019, the company’s ...

Isolit-Bravo's Total Cash From Operations fell 4.40% yoy to CZK 110 mil in 2019

By Helgi Library - September 17, 2020

Isolit-Bravo's operating cash flow stood at CZK 110 mil in 2019, down 4.4% when compared to the previous year. Historically, between 2000 - 2019, the firm’s operating cash flow reached a high of CZK 240 mil in 2008 and a low of CZK -337 mil in 2015...

Isolit-Bravo's Cash & Cash Equivalents rose 4.28% yoy to CZK 709 mil in 2019

By Helgi Library - September 17, 2020

Isolit-Bravo's total assets reached CZK 1,441 mil at the end of 2019, up 0.412% compared to the previous year. Current assets amounted to CZK 1,114 mil, or 77.3% of total assets while cash stood at CZK 709 mil at the end of 2019. ...

Isolit-Bravo's Capital Expenditures rose 61.9% yoy to CZK 23.3 mil in 2019

By Helgi Library - September 17, 2020

Isolit-Bravo invested a total of CZK 23.3 mil in 2019, down 61.9% compared to the previous year. Historically, between 2000 - 2019, the company's investments stood at a high of CZK 104 mil in 2014 and a low of CZK -389 mil in 2016. As...

Isolit-Bravo's Net Debt/EBITDA rose 12.5% yoy to -3.27 in 2019

By Helgi Library - September 17, 2020

Isolit-Bravo's net debt stood at CZK -721 mil and accounted for -65.6% of equity at the end of 2019. The ratio is up 0.156 pp compared to the previous year. Historically, the firm’s net debt to equity reached a high of -32.9% in 2000 and a low of...

Isolit-Bravo's Net Margin rose 12.1% yoy to 12.6% in 2019

By Helgi Library - September 17, 2020

Isolit-Bravo made a net profit of CZK 106 mil with revenues of CZK 846 mil in 2019, up by 2.22% and down by 8.80%, respectively, compared to the previous year. This translates into a net margin of 12.6%. Historically, between 1999 and 2019, the firm...

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Isolit-Bravo, s.r.o. is a Czech Republic-based supplier to a number of multinational companies in the automotive industry. The Company is also a producer of health care instruments and home appliances. Isolit-Bravo also manufactures and sells its own range of products under the brand BRAVO. Company Isolit was founded in 1921 as a moulding shop of bakelite producing telephone sets. After the WWII, Isolit earned reputation of one of the best suppliers of bakelite parts in Central Europe. In 1991, the first fryer was produced and division of kitchen appliances was set up. Two years later, the Company was privatized and Isolit-Bravo as we know it today was founded.

Finance

Isolit-Bravo 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 2023, or of sales. That’s compared to % average margin seen in last five years.

The company netted in 2023 implying ROE of and ROCE of . Again, the average figures were % and %, respectively when looking at the previous 5 years.

Isolit-Bravo’s net debt amounted to at the end of 2023, or of equity. When compared to EBITDA, net debt was x, up when compared to average of x seen in the last 5 years.

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