Skip to main content
Retour
RGPCF logo

Ratch Group Public Company Limited

Qualité des données : 100%
Suracheté
RGPCF
OTC Utilities Regulated Electric
1,08 €
0,00 € (0,00%)
Cap. Boursière : 2,40B
Fourchette du Jour
1,08 € 1,08 €
Fourchette 52 Semaines
0,75 € 1,13 €
Volume
100
Moyenne 50J / 200J
0,86 € / 0,78 €
Clôture Précédente
1,08 €

Quick Summary

Historique des Prix

Tendances Financières

Comparaison Sectorielle

vs médiane du secteur Utilities (208 pairs)

Métrique Action Médiane du Secteur
P/E 0,4 13,0
P/B 0,0 1,4
ROE % 6,5 9,3
Net Margin % 22,7 10,5
Rev Growth 5Y % -7,4 6,1
D/E 1,3 1,4

Objectif de Cours des Analystes

Aucune couverture d'analyste disponible

Estimations de Bénéfices

Période BPA Est. CA Est. Analystes
FY2027 0,00 €
0,00 € – 0,00 €
23,22B 0
FY2026 0,00 €
0,00 € – 0,00 €
24,86B 0

Earnings Surprises

Last 8 quarters
Quarter Est. EPS Actual EPS Surprise
2026-02-23 N/A 0,01 €
2025-08-15 N/A 0,03 €
2025-05-14 N/A 0,56 €
2025-02-25 N/A 0,29 €
2024-11-14 N/A 0,76 €
2024-08-13 N/A 1,05 €
2024-05-14 N/A 0,71 €
2024-02-27 N/A 0,54 €

Dividend History

Yield

0,07%

Payout Ratio

N/A

Growth (3Y)

N/A

Growth (5Y)

N/A

Ex-Date Payment Date Amount Yield
Mar 13, 2026 May 22, 2026 0,02 € 4,59%
Sep 03, 2025 Sep 18, 2025 0,02 € 6,59%
Mar 18, 2025 May 23, 2025 0,02 € 4,37%
Sep 06, 2024 Sep 20, 2024 0,02 € 4,37%
Mar 15, 2024 May 23, 2024 0,02 € 4,37%
Sep 01, 2023 Sep 15, 2023 0,02 € 4,37%
Mar 17, 2023 May 19, 2023 0,02 € 3,95%
Sep 09, 2022 Sep 23, 2022 0,02 € 5,30%
Mar 17, 2022 May 20, 2022 0,04 € 5,71%
Sep 07, 2021 Sep 23, 2021 0,04 € 5,87%
Mar 02, 2021 Apr 23, 2021 0,04 € 4,35%
Sep 03, 2020 Sep 23, 2020 0,04 € 4,33%
Mar 04, 2020 Apr 17, 2020 0,04 € 3,81%
Sep 06, 2019 Sep 20, 2019 0,04 € 3,63%
Mar 04, 2019 Apr 26, 2019 0,04 € 3,51%
Sep 05, 2018 Sep 19, 2018 0,04 € 3,54%
Feb 26, 2018 Apr 20, 2018 0,04 € 3,52%
Aug 31, 2017 Sep 20, 2017 0,03 € 3,33%
Mar 01, 2017 Apr 27, 2017 0,04 € 1,69%

Points Clés

Revenue declined -7,44% annually over 5 years
Net margin of 22,69% shows strong profitability
Generating 12,21B in free cash flow
P/E of 0,39 — trading at a low valuation
Revenue growth is decelerating — 1Y growth trails 5Y average by 9,88%
Cash machine — converts 196,41% of earnings into free cash flow

Croissance

Revenue Growth (5Y)
-7,44%
Revenue (1Y)-17,32%
Earnings (1Y)1,45%
FCF Growth (3Y)26,08%

Qualité

Return on Equity
6,52%
ROIC0,85%
Net Margin22,69%
Op. Margin8,71%

Sécurité

Debt / Equity
1,26
Current Ratio1,22
Interest Coverage0,55

Valorisation

P/E Ratio
0,39
Forward P/EN/A
P/B Ratio0,03
EV/EBITDA44,23
Dividend Yield0,07%

All Fundamental Metrics

Growth
Revenue Growth (1Y) -17,32% Revenue Growth (3Y) -20,80%
Earnings Growth (1Y) 1,45% Earnings Growth (3Y) 9,67%
Revenue Growth (5Y) -7,44% Earnings Growth (5Y) -5,58%
Profitability
Revenue (TTM) 27,39B Net Income (TTM) 6,22B
ROE 6,52% ROA 2,61%
Gross Margin 20,68% Operating Margin 8,71%
Net Margin 22,69% Free Cash Flow (TTM) 12,21B
ROIC 0,85% FCF Growth (3Y) 26,08%
Safety
Debt / Equity 1,26 Current Ratio 1,22
Interest Coverage 0,55
Dividends
Dividend Yield 0,07% Payout Ratio N/A
Dividend Growth (3Y) N/A Dividend Growth (5Y) N/A
Consecutive Div Years N/A
Valuation
P/E Ratio 0,39 Forward P/E N/A
P/B Ratio 0,03 P/S Ratio 0,09
PEG Ratio 5,83 Forward PEG N/A
EV/EBITDA 44,23 Fwd EV/EBITDA N/A
Forward P/S N/A Fwd Earnings Yield N/A
FCF Yield 509,70%
Market Cap 2,40B Enterprise Value 105,49B

Income Statement

Annual, most recent first

Income statement data, annual, most recent first
Metric FY2025 FY2024 FY2023 FY2022 FY2021
Revenue 27,39B 33,13B 43,68B 74,73B 37,33B
Net Income 6,22B 6,13B 5,17B 5,78B 7,82B
EPS (Diluted) 2,86 2,82 2,38 3,15 5,00
Gross Profit 5,66B 5,83B 5,92B 5,44B 4,21B
Operating Income 2,39B 2,58B 2,88B 9,70B 9,24B

Balance Sheet

Annual, most recent first

Balance sheet data, annual, most recent first
Metric FY2025 FY2024 FY2023 FY2022 FY2021
Total Assets 237,81B 214,34B 213,48B 229,58B 154,86B
Total Liabilities 130,25B 107,96B 106,35B 122,18B 77,05B
Shareholders' Equity 93,37B 97,38B 98,00B 98,03B 70,29B
Total Debt 117,34B 93,33B 89,97B 98,98B 61,12B
Cash & Equivalents 14,24B 8,93B 23,56B 34,34B 6,96B
Current Assets 36,31B 26,04B 41,62B 55,48B 25,32B
Current Liabilities 29,71B 23,04B 33,13B 29,17B 20,27B