Terveystalo Oyj (TTALO.he) - Financial summary and valuation
Terveystalo Oyj

Valuation

2022 2023 2024 2025 2026 (e) 2027 (e) 2028 (e)
Number of Shares (million) 126.5 126.6 126.6 126.6 126.7 126.7 126.7
Target Valuation (MEur) 1031.1 919.0 1128.4 1203.0 1069.9 1021.3 1021.3
Targer Price 8.15 7.26 8.91 9.5 8.44 8.06 8.06
Potential, % 30.4 -6.2 -15.4 -2.9 3.0 -1.7 -1.7
Recommendation Buy Hold Hold Hold Hold Hold Hold
MCAP (MEur) 790.9 979.5 1334.4 1238.6 1039.0 1039.0 1039.0
Price 6.25 7.74 10.54 9.78 8.2 8.2 8.2
EV 1358.0 1578.0 1839.0 1747.0 1487.0 1417.0 1369.0
P/S 0.63 0.76 1.0 0.97 0.86 0.87 0.89
EV/S 1.08 1.23 1.37 1.37 1.24 1.19 1.17
EV/EBIT 21.24 22.54 15.83 12.7 15.04 15.01 15.94
P/E 16.37 38.44 18.64 13.38 13.85 13.76 15.11
P/B 1.34 1.9 2.43 2.12 1.8 1.59 1.44
P/OCF 5.61 6.2 5.97 5.99 8.54 8.59 10.6
EV/OCF 9.63 9.99 8.22 8.44 12.22 11.72 13.97
P/FCF 16.83 8.61 7.56 9.01 14.11 14.79 21.95
EV/FCF 28.88 13.86 10.43 12.71 20.2 20.17 28.93

Income Statement

2022 2023 2024 2025 2026 (e) 2027 (e) 2028 (e)
Revenue 1259.1 1286.4 1340.0 1278.8 1203.6 1194.8 1165.8
Rev. Growth, % 9.1 2.2 4.2 -4.6 -5.9 -0.7 -2.4
Ebit 63.9 70.0 116.2 137.5 98.9 94.4 85.9
Ebit Growth, % -42.0 9.5 66.0 18.3 -28.1 -4.6 -9.0
Ebit, % 5.1 5.4 8.7 10.8 8.2 7.9 7.4
Profit 48.3 25.5 71.6 92.6 75.0 75.5 68.7
EPS 0.38 0.2 0.57 0.73 0.59 0.6 0.54
Profit Growth, % -39.9 -47.2 180.8 29.3 -19.0 0.7 -9.0
Profit, % 3.8 2.0 5.3 7.2 6.2 6.3 5.9

Balance Sheet

2022 2023 2024 2025 2026 (e) 2027 (e) 2028 (e)
Inventory 6.6 7.1 7.2 7.6 8.5 9.5 10.6
Acc. Receivable 138.4 143.1 135.0 124.2 119.4 120.4 123.0
Cash 40.2 37.7 65.2 75.2 158.3 228.6 275.9
Equity 592.0 515.4 548.2 584.2 576.3 651.8 720.6
ROE, % 8.2 4.9 13.1 15.9 13.0 11.6 9.5
ROCE, % 5.3 6.1 10.4 11.8 8.4 7.5 6.5
Net Debt 566.6 598.1 504.8 508.0 448.0 377.7 330.4
Gearing, % 95.7 116.0 92.1 87.0 77.7 57.9 45.8
Equity ratio, % 40.0 36.3 39.2 40.5 40.2 43.5 46.0
Acc. Payable 223.2 224.7 230.3 212.4 207.2 196.6 184.9
Total Assets 1479.4 1419.5 1398.4 1441.1 1433.4 1498.6 1566.9
ROA, % 3.3 1.8 5.1 6.4 5.2 5.0 4.4

Cash Flow

2022 2023 2024 2025 2026 (e) 2027 (e) 2028 (e)
Operating Cash Flow 140.9 158.0 223.7 206.9 121.7 120.9 98.0
Investment Cash Flow -93.9 -44.2 -47.3 -69.5 -48.1 -50.6 -50.6
Free Cash Flow 47.0 113.8 176.4 137.4 73.6 70.3 47.3
OCF/CAPEX 1.5 3.57 4.73 2.98 2.53 2.39 1.93
Financial Cash Flow -44.7 -116.2 -148.8 -126.9 9.6 0.0 0.0


Price Analysis by KNN-algorithm

Price history is compared to 25+ million price patterns in the database. Closest observations are used to estimate future price development.


Candlesticks and 50-day expected Risk and Return




Price Analysis by Fourier Transform

Company recent price history is used to regocnize it's usual movements.


Expected price behaviour based on fitting waves (first tick = last price)


Telia Company TietoEVRY Oyj









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