CSG - Cadbury Schweppes Public.

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Cadbury Schweppes Public Limited Company operates as a beverage and confectionary company worldwide. The company’s beverage products include carbonated water, apple juice, quinine-based carbonated drink, carbonated soft drink, non-carbonated soft drink, and tomato-based drink under Dr.Pepper, Schweppes, 7 Up, Snapple, Mott's, Hawaiian Punch, Clamato, and Schweppes Tonic Water brand names. Its confectionary products comprise cocoa powder, sugar confectionery, cough drop, chewing gum, milk chocolate bar, sugar-coated gum, and breath freshener, which are marketed under Cadbury, Bassett’s, Maynards, Halls, , Dentyne, Cadbury Dairy Milk, Chiclets, Clorets, Stimorol, Trident, Bubblicious, and Sour Patch Kids brand names. Cadbury Schweppes sells its products through direct sales force, third party bottlers, independent distributors, and other independent companies. The company was founded by Jacob Schweppe in 1783. Cadbury Schweppes is headquartered in London.

Key Statistics:
Market Cap (intraday): 20.39B
Enterprise Value (23-May-06)3: 27.72B
Trailing P/E (ttm, intraday): 17.40
Forward P/E (fye 01-Jan-08) 1: 14.13
PEG Ratio (5 yr expected): 2.20
Price/Sales (ttm): 1.67
Price/Book (mrq): 3.61
Enterprise Value/Revenue (ttm)3: 2.27
Enterprise Value/EBITDA (ttm)3: 11.432
Fiscal Year
Fiscal Year Ends: 1-Jan
Most Recent Quarter (mrq): 01-Jan-06
Profit Margin (ttm): 9.56%
Operating Margin (ttm): 16.13%
Management Effectiveness
Return on Assets (ttm): 6.46%
Return on Equity (ttm): 19.22%
Income Statement
Revenue (ttm): 12.22B
Revenue Per Share (ttm): 23.84
Qtrly Revenue Growth (yoy): N/A
Gross Profit (ttm): 5.92B
EBITDA (ttm): 2.42B
Net Income Avl to Common (ttm): 916.43M
Diluted EPS (ttm): 2.25
Qtrly Earnings Growth (yoy): N/A
Balance Sheet
Total Cash (mrq): 711.74M
Total Cash Per Share (mrq): 1.366
Total Debt (mrq): 8.04B
Total Debt/Equity (mrq): 1.423
Current Ratio (mrq): 0.77
Book Value Per Share (mrq): 10.84
Cash Flow Statement
Operating Cash Flow (ttm): 2.04B
Levered Free Cash Flow (ttm): 259.86M
Beta: 1.04
52-Week Change3: -1.53%
S&P500 52-Week Change3: 5.71%
52-Week High (16-Sep-05)3: 43.21
52-Week Low (19-Dec-05)3: 37.35
50-Day Moving Average3: 40.13
200-Day Moving Average3: 39.82
Share Statistics
Average Volume (3 month)3: 437,540
Average Volume (10 day)3: 670,443
Shares Outstanding: 521.00M
Float: 520.22M
% Held by Insiders4: 0.18%
% Held by Institutions4: 14.40%
Shares Short (as of 10-Apr-06)3: 595.84K
Short Ratio (as of 10-Apr-06)3: 1.3
Short % of Float (as of 10-Apr-06)3: N/A
Shares Short (prior month)3: 1.02M
Dividends & Splits
Forward Annual Dividend Rate5: 0.91
Forward Annual Dividend Yield5: 2.40%
Trailing Annual Dividend Rate3: 0.91
Trailing Annual Dividend Yield3: 2.30%
5 Year Average Dividend Yield5: 2.60%
Payout Ratio5: 34%
Dividend Date3: 26-May-06
Ex-Dividend Date5: 26-Apr-06
Last Split Factor (new per old)2: 2:1
Last Split Date3: 01-Jun-99

Per questa azienda chiedo il parere dei più esperti per un analisi fondamentale.
L'eventuale acquisto è mirato ad un investimento nel medio periodo, dato che si tratta di una società value.
Ringrazio fin d'ora chi vorrà darmi una mano.
Allego il grafico; da notare la fase laterale che dura da circa un anno.


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