Investor relations

Financials

Recticel's key figures for 2024 - 2025 are displayed below. Click on the links to go directly to a specific topic.

 

Balance sheet

Balance sheet (in million EUR)20242025
Non-current assets394.9418.0
Current assets306.8267.5
TOTAL ASSETS701.7685.6
Total Equity445.1430.4
Non-current liabilities112.0109.3
Current liabilities144.5145.9
TOTAL EQUITY AND LIABILITIES 701.7685.6
   
Net working capital43.050.2
   
Market capitalisation (31 December)593.2556.2
Non-controlling interests1.53.4
Combined net financial debt (74.4)(27.4)
ENTERPRISE VALUE520.4532.1

 

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Income statement

Consolidated income statement (in million EUR)20242025

Sales

Gross profit

610.2
104.5

655.1

114.0

Adjusted EBITDA

EBITDA

49.6
42.6

55.8

51.3

Adjusted Operating profit (loss) 

Operating profit (loss) 

18.9
11.5

24.6

19.9

Financial result

Income from and impairments other associates + change in fair value of option structures

3.4
0.0

(3.5)

(11.5)

Result of the period before taxes14.94.9
Income taxes1.50.6
Result of the period after taxes - continuing operations16.35.6
Result of the period after taxes - discontinued operations1.65.0
Result of the period after taxes - continuing and discontinued operations18.010.6

of which Result of the period after taxes (share of non-controlling interests)

of which Result of the period after taxes (share of the Group)

(0.2)
18.1

0.4

10.2

 

Profitability ratios20242025
Gross profit / Sales17.1%17.4%

Adjusted EBITDA / Sales

EBITDA / Sales

8.1%
7.0%

8.5%

7.8%

Adjusted Operating profit (loss) / Sales

Operating profit (loss) / Sales

3.1%
1.9%

3.7%

3.0%

Result of the period after taxes (share of the Group) / Sales3.0%1.6%
ROE = Result of the period after taxes (share of the Group) / Total equity (Group share) (1)4.1%2.4%

(1)annual average of equity (share of the Group) Average = [Equity (share of the Group) at the end of the previous period + Equity (share of the Group) at the end of the current period] / 2

 

Annual growth rates20242025
Sales15.3%7.4%
EBITDA17.8%20.6%
Operating profit (loss)-8.7%73.3%
Result of the period after taxes (share of the Group)447.8%-43.8%

 

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Key figures Recticel Group

 

Key figures per share

Key figures per share20242025
Number of shares (31 December)56,605,92056,752,920
Weighted average number of shares outstanding (before dilution)56,067,53856,339,332
Weighted average number of shares outstanding (after dilution)56,475,31056,541,062
   
in EUR20242025

Adjusted EBITDA

EBITDA

0.88
0.75

0.98

0.90

Adjusted operating profit (loss)

Operating profit (loss)

0.33
0.20

0.43

0.35

Earnings per share - continuing operations

Earnings per share - discontinued operations

0.29
0.03

0.10

0.09

Earnings per share of continuing and discontinued operations - Basic (2)

Earnings per share of continuing and discontinued operations - Diluted

0.32
0.32

0.19

0.19

   

Gross dividend

Pay-out ratio

0.31
97%

0.31

173%

   

Net book value (share of the group)

Price / Earnings ratio (3)

7.86
32.7

7.58

54.5

(2) calculated on the basis of the weigthed average number of shares outstanding (before dilution effect)
(3) based on the share price of 31 December.  Earnings = Result of the period (share of the Group) per share

 

Share prices (in EUR) 20242025
share price on 31 December10.489.80
lowest share price of the year10.108.38
highest share price of the year14.3411.52
average daily volume traded (units)44,79250,168

 

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Ratios

 

Financial structure ratios 20242025
Net financial debt / Total equity N/AN/A
Total equity / Total assets63%63%
   
Current ratio (4)2.121.83

(4) current assets / current liabilities

 

Valuation ratios20242025
Price / Earnings (Market capitalisation (Dec 31st) / Result of the period (share of the Group))(5)32.754.5
Enterprise value / Operating profit (loss)45.326.7
Price / Book value (=Market capitalisation/Book value (share of the Group))1.31.3

(5) based on the share price of December 31st.  Earnings = result of the period (share of the Group) per share

 

Investments versus Amortisation/Depreciation (in million EUR)20232024
Investments in intangible and tangible fixed assets28.534.3
Amortisation, depreciation and impairments
(excluding amortisation on goodwill, including impairment)
30.327.6
Investments / Sales4.7%5.2%

 

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