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BUUU Group Ltd

Qualité des données : 100%
BUUU
Nasdaq Services Amusement & Recreation
14,10 €
▼ 0,91 € (-6,06%)
Cap. Boursière: 235,12 M
Prix
14,10 €
Cap. Boursière
235,12 M
Fourchette du Jour
Fourchette 52 Semaines
Volume
Ouverture —
Moyenne 50J / 200J
Moyenne 50J / 200J

Quick Summary

Points Clés

ROE of 78,66% indicates high profitability
Debt/Equity of 0,43 — conservative balance sheet
Generating 330 362,0 in free cash flow
P/E of 296,33 — premium valuation
Capital efficient — spends only 0,09% of revenue on capex
ROIC of 54,37% — excellent capital efficiency

Croissance

Revenue Growth (5Y)
N/A
Revenue (1Y)N/A
Earnings (1Y)N/A
FCF Growth (3Y)N/A

Qualité

Return on Equity
78,66%
Au-dessus de la moyenne du secteur (-15,85%)
ROIC54,37%
Net Margin12,54%
Op. Margin16,25%

Sécurité

Debt / Equity
0,43
Au-dessus de la moyenne du secteur (0,39)
Current Ratio1,61
Interest Coverage64,98

Valorisation

PE (TTM)
296,33
Au-dessus de la moyenne du secteur (-1,21)
P/B Ratio233,09
EV/EBITDA219,72
Dividend YieldN/A

Historique des Prix

Tendances Financières

Comparaison Sectorielle

vs médiane du secteur Services (506 pairs)
Métrique Action Médiane du Secteur
P/E 296,3 -1,2
P/B 233,1 1,4
ROE % 78,7 -15,8
Net Margin % 12,5 -18,3
Rev Growth 5Y % 4,0
D/E 0,4 0,4

Objectif de Cours des Analystes

Aucune couverture d'analyste disponible

Estimations de Bénéfices

Aucune estimation prévisionnelle disponible

All Fundamental Metrics

Growth
Revenue Growth (1Y) N/A Revenue Growth (3Y) N/A
Earnings Growth (1Y) N/A Earnings Growth (3Y) N/A
Revenue Growth (5Y) N/A Earnings Growth (5Y) N/A
Profitability
Revenue (TTM) 6,33 M Net Income (TTM) 793 420,0
ROE 78,66% ROA 31,25%
Gross Margin 31,03% Operating Margin 16,25%
Net Margin 12,54% Free Cash Flow (TTM) 330 362,0
ROIC 54,37% FCF Growth (3Y) N/A
Safety
Debt / Equity 0,43 Current Ratio 1,61
Interest Coverage 64,98 Asset Turnover 2,49
Working Capital 894 433 Tangible Book Value 1,01 M
Dividends
Dividend Yield N/A Payout Ratio N/A
Dividend Growth (3Y) N/A Dividend Growth (5Y) N/A
Consecutive Div Years N/A
Valuation
P/E Ratio 296,33 Forward P/E N/A
P/B Ratio 233,09 P/S Ratio 37,15
PEG Ratio N/A Forward PEG N/A
EV/EBITDA 219,72 Fwd EV/EBITDA N/A
Forward P/S N/A Fwd Earnings Yield N/A
FCF Yield 0,14%
Market Cap 235,12 M Enterprise Value 235,45 M
Per Share
EPS (Diluted TTM) 0,05 Revenue / Share 0,38
FCF / Share 0,02 OCF / Share 0,02
EPS CAGR (1Y) N/A EPS CAGR (5Y) N/A
EPS CAGR (10Y) N/A
Efficiency
CapEx / Revenue 0,09% FCF Conversion 41,64%
SBC-Adj. FCF N/A Growth Momentum N/A

Income Statement

Annual, most recent first
Metric FY2025
Revenue 6,33 M
Net Income 793 420,0
EPS (Diluted) 0,05
Gross Profit 1,96 M
Operating Income 1,03 M
EBITDA
R&D Expenses
SG&A Expenses
D&A 43 071,0
Interest Expense 15 829,0
Income Tax 212 810,0

Balance Sheet

Annual, most recent first
Metric FY2025
Total Assets 2,54 M
Total Liabilities 1,50 M
Shareholders' Equity 1,01 M
Total Debt 432 101,0
Cash & Equivalents 101 535,0
Current Assets 2,37 M
Current Liabilities 1,48 M