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SA Catana Group

CATG.PAEURONEXT
Consumer Cyclical
Auto - Recreational Vehicles
3.66
-0.15(-3.94%)

SA Catana Group (CATG.PA) Financial Performance & Income Statement Overview

Review SA Catana Group’s income statement, balance sheet, and cash flow reports with annual and quarterly breakdowns.

Revenue Growth
10.69%
10.69%
Operating Income Growth
46.12%
46.12%
Net Income Growth
53.39%
53.39%
Operating Cash Flow Growth
-1.60%
1.60%
Operating Margin
16.51%
16.51%
Gross Margin
39.44%
39.44%
Net Profit Margin
12.93%
12.93%
ROE
33.78%
33.78%
ROIC
28.000%
28.000%

SA Catana Group (CATG.PA) Income Statement & Financial Overview

Review SA Catana Group's (CATG.PA) income statement with detailed quarterly and annual figures.

MetricQ2 2024
Net Income$13.45M
Depreciation & Amortization$2.73M
Deferred Income Tax$0.00
Stock Based Compensation$197000.00
Change In Working Capital-$13.76M
Accounts Receivables-$4.91M
Inventory-$18.12M
Accounts Payables-$697000.00
Other Working Capital$9.97M
Other Non-Cash Items$225000.00
Net Cash From Operating Activities$2.84M
Investments In Property Plant & Equipment-$9.99M
Acquisitions Net$0.00
Purchases Of Investments$0.00
Sales/Maturities Of Investments$0.00
Other Investing Activities-$586000.00
Net Cash Used For Investing Activities-$10.58M
Debt Repayment$10.65M
Common Stock Issued$0.00
Common Stock Repurchased-$101000.00
Dividends Paid$0.00
Other Financing Activities$633000.00
Net Cash From Financing Activities$11.18M
Effect Of Forex Changes On Cash$0.00
Net Change In Cash$66.56M
Cash At End Of Period$66.56M
Cash At Beginning Of Period$0.00
Operating Cash Flow$2.84M
Capital Expenditure-$9.99M
Free Cash Flow-$7.15M

SA Catana Group (CATG.PA) Cash Flow Analysis

3.66
-3.94%

SA Catana Group operates in the Consumer Cyclical sector as part of the Auto - Recreational Vehicles industry. The company is currently trading at 3.66 with a market capitalization of N/A.

Cash Flow Overview

Cash flow analysis provides insights into SA Catana Group's financial health by examining how the company generates and uses cash. This analysis covers three main categories: operating activities, investing activities, and financing activities.

Key Cash Flow Metrics

Operating Cash Flow per Share (TTM)0.51
Free Cash Flow per Share (TTM)-0.36
Cash per Share (TTM)1.74
Free Cash Flow Yield (TTM)-0.09%
Operating Cash Flow to Sales Ratio0.06

Financial Position Indicators

Current Ratio1.75
Working Capital67.57M
Debt-to-Equity Ratio0.48
Price to Free Cash Flow-11.08
Enterprise Value108.53M

Stock Performance Summary

SA Catana Group has shown the following performance over different time periods:

1-Day
+2.95%
5-Day
-5.87%
1-Month
-15.76%
YTD
-21.22%
52W Range
3.25 - 5.85

Company Information

Headquarters: Canet-en-Roussillon, FR

Employees: 670

Website:catanagroup.com

Investment Metrics

P/E Ratio (TTM)3.56
EPS (TTM)1.02
Dividend YieldN/A
Book Value per Share3.45
ROE (TTM)33.78%

Understanding Cash Flow Statements

Cash flow statements are crucial financial documents that track the movement of cash in and out of a business. Unlike income statements that may include non-cash items, cash flow statements focus exclusively on actual cash transactions.

Three Components of Cash Flow:

Operating Activities

Cash generated from core business operations

Investing Activities

Cash used for investments in assets, acquisitions, or securities

Financing Activities

Cash from debt, equity financing, and dividend payments

Data Update: Financial data is updated regularly based on company filings. Last earnings announcement: June 2, 2025.All financial metrics are trailing twelve months (TTM) unless otherwise specified. Currency: EUR. Exchange: EURONEXT.

Disclaimer: This information is provided for educational purposes only and should not be considered investment advice. Please conduct your own research and consult with financial advisors before making investment decisions.

SA Catana Group (CATG.PA) Cash Flow Analysis

The cash flow statement reveals the SA Catana Group (CATG.PA) liquidity trends, with operating cash flow per share at $0.51, reflecting core business performance. Investing activity changes were 7.39%, indicating capital expenditures or asset sales, while financing activity shifted by 76.58%, showing debt or equity movements. Free cash flow per share was $-0.36, highlighting funds available for growth or shareholder returns. Year-over-year change in operating cash flow is -1.60%, demonstrating financial health shifts. For deeper insights, compare these figures with income statements and balance sheets to assess sustainability and strategic priorities.

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Frequently Asked Questions

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