Log in
E-mail
Password
Show password
Remember
Forgot password ?
Become a member for free
Sign up
Sign up
New member
Sign up for FREE
New customer
Discover our services
Settings
Settings
Dynamic quotes 
OFFON

AIR PRODUCTS AND CHEMICALS, INC.

(APD)
  Report
SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Valuation
Fiscal Period: September 2018 2019 2020 2021 2022 2023
Capitalization1 36 62948 88865 79665 064--
Entreprise Value (EV)1 37 46649 79968 45067 96169 94470 635
P/E ratio 25,3x27,9x34,8x32,1x27,8x24,6x
Yield 2,54%2,06%1,74%1,97%2,15%2,35%
Capitalization / Revenue 4,10x5,48x7,43x6,43x5,88x5,49x
EV / Revenue 4,20x5,58x7,73x6,71x6,32x5,96x
EV / EBITDA 12,0x14,4x18,9x17,5x15,7x14,3x
Price to Book 3,38x4,42x5,45x4,99x4,60x4,23x
Nbr of stocks (in thousands) 219 272220 355220 894221 365--
Reference price (USD) 167222298294294294
Announcement Date 11/06/201811/07/201911/11/2020---
1 USD in Million
Estimates
Income Statement Evolution (Annual data)
Fiscal Period: September 2018 2019 2020 2021 2022 2023
Net sales1 8 9308 9198 85610 12511 07011 851
EBITDA1 3 1163 4683 6203 8944 4484 933
Operating profit (EBIT)1 1 9422 1702 2042 3062 6773 016
Operating Margin 21,7%24,3%24,9%22,8%24,2%25,4%
Pre-Tax Profit (EBT)1 2 0152 2902 4242 4242 9573 245
Net income1 1 4561 7601 9012 0292 3672 627
Net margin 16,3%19,7%21,5%20,0%21,4%22,2%
EPS2 6,597,948,559,1510,612,0
Dividend per Share2 4,254,585,185,786,336,91
Announcement Date 11/06/201811/07/201911/11/2020---
1 USD in Million
2 USD
Income Statement Evolution (Quarterly data)
Fiscal Period: September 2021 Q1 2021 Q2 2021 Q3 2021 Q4 2022 Q1 2022 Q2
Net sales1 2 3752 5022 6052 6702 7082 730
EBITDA1 9329349761 0291 0831 115
Operating profit (EBIT)1 539535577640647675
Operating Margin 22,7%21,4%22,2%24,0%23,9%24,7%
Pre-Tax Profit (EBT)1 590599626707--
Net income1 482473534573--
Net margin 20,3%18,9%20,5%21,5%--
EPS2 2,172,132,402,492,412,50
Dividend per Share ------
Announcement Date 02/04/202105/10/202108/09/2021---
1 USD in Million
2 USD
Previous periodNext period
Balance Sheet Analysis
Fiscal Period: September 2018 2019 2020 2021 2022 2023
Net Debt1 8379112 6552 8974 8815 572
Net Cash position1 ------
Leverage (Debt / EBITDA) 0,27x0,26x0,73x0,74x1,10x1,13x
Free Cash Flow1 9869807568914461 031
ROE (Net Profit / Equities) 15,7%16,1%16,4%15,9%17,3%18,2%
Shareholders' equity1 9 26510 95511 56712 78813 65514 448
ROA (Net Profit / Asset) 8,74%9,23%8,44%7,90%11,2%8,77%
Assets1 16 65419 06822 51925 68821 05429 961
Book Value Per Share2 49,450,254,758,963,869,5
Cash Flow per Share2 11,613,414,714,917,018,5
Capex1 1 5681 9902 5092 4613 0393 139
Capex / Sales 17,6%22,3%28,3%24,3%27,4%26,5%
Announcement Date 11/06/201811/07/201911/11/2020---
1 USD in Million
2 USD
Key data
Capitalization (USD) 65 063 500 867
Net sales (USD) 8 856 300 000
Number of employees 19 138
Sales / Employee (USD) 462 760
Free-Float 88,5%
Free-Float capitalization (USD) 57 571 552 590
Avg. Exchange 20 sessions (USD) 330 799 736
Average Daily Capital Traded 0,51%
EPS & Dividend
Year-on-year evolution of the PER
Year-on-year evolution of the Yield
Change in Enterprise Value/EBITDA