ACS, ACTIVIDADES DE CONSTRUCCION Y SERVICIOS, S.A.
Headquarters address: Avda. Pío XII, 102 - 28036 Madrid
CIF A28004885 Spain Construction Infrastructure Industrial Services Waste IBEX35 seen 4055 times Last report December 2020
Employees | 53 (41.50% women) |
Profit | 574M € |
Indebtedness | 742.8% |
Income | 34,937M € |
Earnings per share | 1.95 € |
Solvency | 113.5% | 1% |
Short solvency | 94.51% | -4.66% |
Working balance on income | 5.38% | -24.18% |
Working balance on assets | 8% | -26.06% |
Non current assets coverage | 27.29% | 6.65% |
Fixed assets on long term debt | 33.62% | 16.56% |
Cash on Current Assets | 34.38% | 2.33% |
Inmovilization | 35.73% | 0.77% |
Cash on Current Liabilities | 37.36% | -0.81% |
Leverage | 30.78% | -6.59% |
Debt Quality | 32.9% | -6.87% |
Financial Expenses Coverage | 322.5% | 131.7% |
Short term Indebtedness | 498.4% | -4.92% |
Long term Indebtedness | 244.4% | -14.65% |
Financial Expenses on EBIT | 31.01% | -56.84% |
Indebtedness Ratio | 88.13% | -0.99% |
Indebtedness on EBIT | 2.37K% | -55.39% |
Assets Turnover | 95.53% | -2.89% |
Customers Turnover | -339.8% | 1.52% |
Fixed Assets Turnover | 267.4% | -3.63% |
Suppliers Turnover | 152.2% | -11.28% |
Profit on Income/Sales | 1.64% | -20.82% |
Earnings per share | 1.95 € | -26.14% |
Funds from Operations | 1,542M € | -11.59% |
EBIT Margin | 3.9% | 128.5% |
Operating Margin | 3.54% | 263.7% |
ROA | 1.57% | -23.1% |
ROE | 16.1% | -28.45% |
Profitability | 2.23% | 123.3% |
Economic Profitability | 3.73% | 121.9% |
Rea Estate Profitability | 571.2% | -875.2% |
Expenses/Profit | 593.9% | -52.44% |
EBIT | -322.5% | 131.7% |
Staff expenses | 152.7M € | -1.55% |
Financial Expenses on Sales | 1.21% | -1.36% |
Cash Flow per share | -29.25K | -100.5% |
Cash Flow on assets | -0.02% | -100.5% |
Cash Flow on income/sales | -0.02% | -100.5% |
Dividends on Cash Flow | 0% | 0% |
Cash Flow Margin Ratio | 3.36% | -26.63% |
Cash Flow on short-term Liabilities | 0.04% | -100.5% |
Cash Flow on long-term Liabilities | 0.08% | -100.5% |
Cash Flow on Debt | 0.08% | -100.5% |
External Financing | 12.24K% | 21.95K% |