FCMC.PA

Société Fermière du Casino Municipal de Cannes [FCMC.PA] Stock Forecast

Buy or Sell ? Support and Resistance

What is MACD and how to read it?

How RSI can help?
RSI : 000

FCMC.PA Stock Summary

In the News

FCMC.PA Financial details

Company Rating
Buy
Market Cap
245.96M
Income
37.56M
Revenue
294.92M
Book val./share
1532.19
Cash/share
438.66
Dividend
77
Dividend %
4.53%
Employees
758
Optionable
No
Shortable
Yes
Earnings
-
P/E
10.98
Forward P/E
-
PEG
2.83
P/S
1.81
P/B
1.01
P/C
3.56
P/FCF
4.96
Quick Ratio
1.63
Current Ratio
1.89
Debt / Equity
0.14
LT Debt / Equity
0.09
-
-
EPS (TTM)
214.89
EPS next Y
-
EPS next Q
-
EPS this Y
-61.22%
EPS next Y
-
EPS next 5Y
-
EPS last 5Y
-5.94%
Revenue last 5Y
3%
Revenue Q/Q
153.31%
EPS Q/Q
-271.34%
-
-
-
-
SMA20
-8.04%
SMA50
-7.68%
SMA100
-9%
Inst Own
-
Inst Trans
-
ROA
5%
ROE
10%
ROC
0.09%
Gross Margin
61%
Oper. Margin
28%
Profit Margin
18%
Payout
-
Shs Outstand
-
Shs Float
-
-
-
-
-
Target Price
-
52W Range
1550.0-1810.0
52W High
-13.81%
52W Low
+0.65%
RSI
32.63
Rel Volume
0.67
Avg Volume
3
Volume
2
Perf Week
0%
Perf Month
-5.45%
Perf Quarter
-
Perf Half Y
-6.59%
-
-
-
-
Beta
0.611
-
-
Volatility
3.5%, 62.44%
Prev Close
0%
Price
1560
Change
0%

FCMC.PA Financial Performance

Yearly Fundamentals Overview

Last date of statement is 2023-10-31

Metric History 2019-10-312020-10-312021-10-312022-10-31 2023-10-31
2.02K2.02K2.02K2.02K2.02K
Revenue per share
724.52314.32433.62843.37847.18
Net income per share
81.57-74.5722.14154.8360.04
Operating cash flow per share
120.464.24165.15307.68162.19
Free cash flow per share
10.21-193.6131.83290.85141.76
Cash per share
163.1567.54345.57574.15440.81
Book value per share
1.57K1.5K1.52K1.68K1.54K
Tangible book value per share
1.61K1.53K1.56K1.73K1.58K
Share holders equity per share
1.57K1.5K1.52K1.68K1.54K
Interest debt per share
5149.25306.64253.8221.76
Market cap
280.29M175.18M227.74M224.23M302.28M
Enterprise value
252.56M218.82M248.45M204.75M297.87M
P/E ratio
19.61-13.4158.738.2728.98
Price to sales ratio
2.213.1831.522.05
POCF ratio
13.28235.787.874.1610.73
PFCF ratio
156.76-5.179.864.412.27
P/B Ratio
1.020.670.850.761.13
PTB ratio
1.020.670.850.761.13
EV to sales
1.993.973.271.392.02
Enterprise value over EBITDA
7.72-134.918.823.776.24
EV to operating cash flow
11.97294.518.593.810.57
EV to free cash flow
141.25-6.4510.764.0212.1
Earnings yield
0.05-0.070.020.120.03
Free cash flow yield
0.01-0.190.10.230.08
Debt to equity
00.10.20.150.14
Debt to assets
00.060.110.090.08
Net debt to EBITDA
-0.85-26.910.74-0.36-0.09
Current ratio
1.360.691.081.891.61
Interest coverage
801.69-28.7815.3740.3124.44
Income quality
1.48-0.067.461.992.7
Dividend Yield
0.040000.05
Payout ratio
0.740001.38
Sales general and administrative to revenue
0.210.340.230.170.19
Research and developement to revenue
00000
Intangibles to total assets
00000
Capex to operating cash flow
-0.92-46.65-0.2-0.05-0.13
Capex to revenue
-0.15-0.63-0.08-0.02-0.02
Capex to depreciation
-2.04-2.24-0.34-0.22-0.26
Stock based compensation to revenue
0.01-0.5-0.44-0.11-0.19
Graham number
1.7K1.59K871.32.42K1.44K
ROIC
0.05-0.040.010.070.05
Return on tangible assets
0.04-0.030.010.050.02
Graham Net
-427.99-796.39-673.52-512.69-551.94
Working capital
14.54M-13.46M6.12M54.47M36.41M
Tangible asset value
281.37M268.76M273.75M302.47M274.88M
Net current asset value
-56.41M-133.77M-110.4M-83.99M-88.87M
Invested capital
00.10.20.150.14
Average receivables
11.04M12.99M17.5M15.44M14.08M
Average payables
7.67M7.32M8.25M10.16M10.13M
Average inventory
1.01M1.13M1.18M1.23M1.39M
Days sales outstanding
28.54106.4890.9829.540.22
Days payables outstanding
52.1147.2372.6854.3448.46
Days of inventory on hand
6.828.618.466.777.31
Receivables turnover
12.793.434.0112.379.07
Payables turnover
7.017.735.026.727.53
Inventory turnover
53.4942.3843.1753.8949.9
ROE
0.05-0.050.010.090.04
Capex per share
-110.25-197.84-33.32-16.83-20.43

Quarterly Fundamentals Overview

Last date of statement is 2023-10-31 for Q4

Metric History 2021-10-312022-04-302022-10-312023-04-30 2023-10-31
2.02K2.02K2.02K2.02K2.02K
Revenue per share
0211.39631.98237.79604.43
Net income per share
0-8.24163.08-84.18144.23
Operating cash flow per share
044.34263.340.66160.74
Free cash flow per share
034.22256.62-11.5152.61
Cash per share
0325.92574.15534.34438.66
Book value per share
01.52K1.68K1.52K1.53K
Tangible book value per share
01.56K1.73K1.56K1.57K
Share holders equity per share
01.52K1.68K1.52K1.53K
Interest debt per share
0245.6251.49236.84212.69
Market cap
0204.96M224.23M297.81M303.76M
Enterprise value
20.72M218.27M204.75M280.96M299.35M
P/E ratio
0-35.491.96-5.053.02
Price to sales ratio
05.532.037.152.88
POCF ratio
026.394.862.59K10.82
PFCF ratio
034.194.99-147.811.4
P/B Ratio
00.770.761.121.14
PTB ratio
00.770.761.121.14
EV to sales
0.35.891.856.742.84
Enterprise value over EBITDA
0.6963.34.0286.476.73
EV to operating cash flow
028.14.442.44K10.67
EV to free cash flow
036.414.55-139.4311.24
Earnings yield
0-0.010.13-0.050.08
Free cash flow yield
00.030.2-0.010.09
Debt to equity
0.30.160.150.150.14
Debt to assets
0.170.090.090.080.08
Net debt to EBITDA
0.693.86-0.38-5.19-0.1
Current ratio
1.081.061.891.421.61
Interest coverage
0-8.2972.64-8.890
Income quality
0-5.381.61-0.011.11
Dividend Yield
00000.04
Payout ratio
000-0.060.54
Sales general and administrative to revenue
00000
Research and developement to revenue
00000
Intangibles to total assets
00000
Capex to operating cash flow
0-0.23-0.03-18.52-0.05
Capex to revenue
0-0.05-0.01-0.05-0.01
Capex to depreciation
0-0.26-0.18-0.29-0.22
Stock based compensation to revenue
0-0.15-0.1-0.17-0.21
Graham number
0530.562.48K1.7K2.23K
ROIC
0-0.010.08-0.010.08
Return on tangible assets
0.0300.06-0.030.05
Graham Net
0-650.4-512.69-588.36-549.24
Working capital
6.12M4.81M54.47M33.92M36.41M
Tangible asset value
273.75M272.57M302.47M273.23M274.88M
Net current asset value
-108.82M-107.92M-83.99M-97.62M-88.87M
Invested capital
0.30.160.150.150.14
Average receivables
00000
Average payables
00000
Average inventory
00000
Days sales outstanding
052.189.7141.3413.83
Days payables outstanding
17.6729.5921.4236.6719.72
Days of inventory on hand
2.354.472.674.152.98
Receivables turnover
01.729.272.186.51
Payables turnover
5.093.044.22.454.56
Inventory turnover
38.3420.1233.721.6630.23
ROE
0.05-0.010.1-0.060.09
Capex per share
0-10.12-6.71-12.16-8.13

FCMC.PA Frequently Asked Questions

What is Société Fermière du Casino Municipal de Cannes stock symbol ?

Société Fermière du Casino Municipal de Cannes is a FR stock and trading under the symbol FCMC.PA

What is Société Fermière du Casino Municipal de Cannes stock quote today ?

Société Fermière du Casino Municipal de Cannes stock price is $1560 today.

Is Société Fermière du Casino Municipal de Cannes stock public?

Yes, Société Fermière du Casino Municipal de Cannes is a publicly traded company.

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