Sanofi: Información Financiera de la CompanÍa

 Company name  Sanofi    ISIN:  FR0000120578
 End of Fiscal Year:  30 Diciembre 2015    Founded Year:  1999

Sanofi

(at previous day's close)
Capitalización del mercado 101,801.11 m
Acciones en uso 1,285.04 m
Cierre anterior 79.55
Relación P / E 24.25  
Rentabilidad por dividendo 3.68 %
dividendos por acción 3.28 c
Dividendo Por acción 2.93 c
Cubierta de dividendos 1.12
Flujo de caja 6.94 c
Retorno de capital 7.73 %
Margen operativo - %
PEG Factor -  
Tasa de Crecimiento - %
Tasa de crecimiento del dividendo por accion 2.81 %
Deuda neta 34,852.00 m
Gross Gearing 43.11 %
Activos Rápidos 12,311.00 m
Capacidad de trabajo neto 85,496.00 m
Intangibles / Fixed Assets 11.02 %
Volumen de ventas por accion 26.88 c
Beneficio antes de impuestos por acción 0.00 c
Ganancia Retenida por acción - c
Efectivo por accion 720.52 c
Efectivo Neto por acción -588.77 c
Valor de los activos tangibles netos por acción* 364.27 c
Valor neto del activo por acción 7,962.46 c
Propagación 0.29 (0.37%)

Sanofi Balance Sheet (30 Dic 2015)

SAN:liab eqSAN:assets

Sanofi Share Price

Sample Period  High Low
1 week - 79.52
4 weeks - 79.52
12 weeks - 79.52
1 year - 79.52

Sanofi (5 years)

Sanofi Historic Returns

Period *  Open Change % Open Avg. Avg. Daily Vol [m] Total Vol. [m] VWAP
1 week - - - - - -
4 weeks - - - - - -
12 weeks - - - - - -
26 weeks - - - - - -
1 year - - - - - -
3 years - - - - - -
5 years - - - - - -

Sanofi Key Management Ratio

Sanofi Investment Ratios

(Market value analysis) at previous day's close
PQ Ratio 16.49  
PE Ratio 24.25  
Tobin's Q Ratio 0.99  
Tobin's Q Ratio (excl. intangibles) 2.01  
Dividend Yield 3.68 %
Market-to-Book Ratio 1.00  
Price-to-Pre-Tax Profit PS 194,974.58  
Price-to-Retained Profit PS -  
Price-to-Cash Flow PS 11.46  
Price-to-Sales PS 2.96  
Price-to-Net Tangible Asset Value PS 0.22  
Price-to-Cash PS 0.11  
Net Working Capital PS 66.53  
Price Pct to Working Capital PS 1.20 %
Earnings Yield 0.04 %
Average PE -  
Years in Average PE -  
PE to PE average - %

Sanofi Financial Ratios

(Leverage Ratios)
Debt Ratio 79.01 %
Debt-to-Equity Ratio 0.60  
Debt-to-Equity Ratio (excl. Intgbl) 5.26  
Debt-to-Equity Market Value 0.34  
Net Gearing 34.06 %
Net Gearing (excl. Intangibles) 68.69 %
Gross Gearing 43.11 %
Gross Gearing (excl. Intangibles) 86.94 %
Gearing Under 1 Year 16.44 %
Gearing Under 1 Year (excl. Intgbl) 33.16 %
Assets / Equity 1.76  
Cash / Equity 0.16  
(Liquidity Ratios)
Net Working Capital to Total Assets 83.56 %
Current Ratio 2.19  
Quick Ratio (Acid Test) 1.80  
Liquidity Ratio 0.55  
Cash & Equiv / Current Assets 25.16 %
(Solvency Ratios)
Enterprise Value 1,198,281.07 m
Sales 0.26  
CFO / Attributable Profit -  
CFO / Assets 0.00  
CFO / Debt 0.00  
Total Debt / Equity Market Value 0.43  
Total Debt / Sales 1.28  
Total Debt / Pre-Tax Profit 8,413,312.99  
Total Debt 44,111.00 m
Total Debt / Net Current Assets 0.52 %
(Dodds – Graham Ratios)
3 yr Compound Earnings Growth - %
5 yr Compound Earnings Growth - %
10 yr Compound Earnings Growth - %
Earn drops > 5% in 10yrs 10.00  
Beta (60-Mnth) Beta (36-Mnth)
- -
Alpha (60-Mnth) Alpha (36-Mnth)
- -

Sanofi Operating Ratios

(Profitability Ratios)
Return On Capital Employed (ROCE) 0.00 %
Return On Assets (ROA) - %
Net Profit Margin - %
Assets Turnover 0.00  
Return On Equity (ROE) 7.73 %
Return On Investment (ROI) - %
Dividend Payout Ratio 89.33 %
Plowback Ratio 10.67 %
Growth from Plowback Ratio 82.45 %
Net Income of Revenues - %
(Asset Utilisation Multiples)
Shareholders Equity Turnover 0.00  
Fixed Assets Turnover 0.00  
Current Assets Turnover 0.00  
Net Working Capital Turnover 0.00  
Inventory Turnover 0.00  
(Other Operating Ratios)
Total Assets-to-Sales 2.96  
Debtors-to-Sales 25.63 %
Debt Collection Period 93.55 Days

Sanofi Dividends

Type Curr. Dividend Amount Period Start Period End Total Dividend Amount
Final EUR 2.93 30 Dic 2014 30 Dic 2015 2.93
Final EUR 2.85 30 Dic 2013 30 Dic 2014 2.85
Final EUR 2.80 30 Dic 2012 30 Dic 2013 2.80
Final EUR 2.77 30 Dic 2011 30 Dic 2012 2.77
Final EUR 2.65 30 Dic 2010 30 Dic 2011 2.65
Final EUR 2.50 30 Dic 2009 30 Dic 2010 2.50
Final EUR 2.40 30 Dic 2008 30 Dic 2009 2.40
Final EUR 2.20 30 Dic 2007 30 Dic 2008 2.20

Sanofi Fundamentals

  30 Dic 2012 (EUR) 30 Dic 2013 (EUR) 30 Dic 2014 (EUR) 30 Dic 2015 (EUR)
Turnover 34,947.00 100.00% 32,951.00 100.00% 33,770.00 100.00% 34,542.00 100.00% m
Pre Tax Profit 5,877.00 16.82% 4,603.00 13.97% 5,731.00 16.97% 5,243.00 15.18% m
Attributable Profit - -% - -% - -% - -% m
Retained Profit - -% - -% - -% - -% m
Eps – Basic 3.76 2.81 3.34 3.28
Eps – Diluted 3.74 2.78 3.30 3.25
Dividends per Share 2.77 2.80 2.85 2.93

Sanofi Balance Sheet

  30 Dic 2012 (EUR) 30 Dic 2013 (EUR) 30 Dic 2014 (EUR) 30 Dic 2015 (EUR)
SAN:liab eqSAN:assets SAN:liab eqSAN:assets SAN:liab eqSAN:assets SAN:liab eqSAN:assets
  30 Dic 2012 (EUR) 30 Dic 2013 (EUR) 30 Dic 2014 (EUR) 30 Dic 2015 (EUR)
ASSETS
fixed assets  Activos fijos - -% - -% - -% - -% m
intangibles  Intangibles 58,265.00 58.03% 52,529.00 54.68% 53,740.00 55.18% 51,583.00 50.41% m
fixed investments  Fixed Investments 3,585.00 3.57% 4,583.00 4.77% 4,189.00 4.30% 4,681.00 4.57% m
current assets - other  Current Assets – Other 16,015.00 15.95% 15,305.00 15.93% 16,332.00 16.77% 21,429.00 20.94% m
stocks  Stocks 6,379.00 6.35% 6,352.00 6.61% 6,562.00 6.74% 6,516.00 6.37% m
debtors  Debtors 9,604.00 9.57% 8,854.00 9.22% 9,010.00 9.25% 8,853.00 8.65% m
cash & securities  Cash & securities 6,559.00 6.53% 8,442.00 8.79% 7,559.00 7.76% 9,259.00 9.05% m
Other assets 107.00 0.11% 29.00 0.03% 69.00 0.07% 5,801.00 5.67% m
TOTAL 100,407.00 100.00% 96,065.00 100.00% 97,392.00 100.00% 102,321.00 100.00% m
LIABILITIES
creditors - short  Creditors – Short 13,860.00 24.12% 13,957.00 24.48% 13,032.00 23.16% 16,825.00 28.90% m
creditors - long  Creditors – Long 29,075.00 50.59% 25,094.00 44.01% 28,092.00 49.93% 27,286.00 46.88% m
TOTAL 42,935.00 74.71% 39,051.00 68.49% 41,124.00 73.09% 44,111.00 75.78% m
EQUITY
Minority Interest -57,338.00 -99.77% -56,885.00 -99.77% -56,120.00 -99.74% -58,049.00 -99.72% m
Capital Reserves 57,338.00 99.77% 56,885.00 99.77% 56,120.00 99.74% 58,049.00 99.72% m
TOTAL 57,472.00 100.00% 57,014.00 100.00% 56,268.00 100.00% 58,210.00 100.00% m

Sanofi Cash Flow Statement

30 Dic 2012 (EUR) 30 Dic 2013 (EUR) 30 Dic 2014 (EUR) 30 Dic 2015 (EUR)
Operating CF 8,171.00 6,954.00 7,690.00 8,920.00
Investing CF -1,587.00 -1,273.00 -3,458.00 -3,265.00
Financial CF -4,351.00 -3,726.00 -5,182.00 -3,593.00
Net change CF 2,233.00 1,955.00 -950.00 2,062.00

Sanofi Employee Data

30 Dic 2012 (EUR) 30 Dic 2013 (EUR) 30 Dic 2014 (EUR) 30 Dic 2015 (EUR)
Number of employees 112,128.00 112,128.00 113,496.00 115,631.00
Sales per employee 0.31 0.29 0.30 0.30 m

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