CENTRAL EUROPEAN DIST CORP's gross profit margin for the third quarter of its fiscal year 2012 has increased when compared to the same period a year ago. Even though sales decreased, the net income has increased. CENTRAL EUROPEAN DIST CORP has very weak liquidity. Currently, the Quick Ratio is 0.46 which clearly shows a lack of ability to cover short-term cash needs. The company's liquidity has decreased from the same period last year, indicating deteriorating cash flow.
At the same time, stockholders' equity ("net worth") has significantly decreased by 63.26% from the same quarter last year. The key liquidity measurements indicate that the company is in a position in which financial difficulties could develop in the near future.
|Income Statement||Q3 FY12||Q3 FY11|
|Net Sales ($mil)||191.33||209.64|
|Net Income ($mil)||35.77||-848.74|
|Balance Sheet||Q3 FY12||Q3 FY11|
|Cash & Equiv. ($mil)||102.71||111.19|
|Total Assets ($mil)||1980.17||2357.12|
|Total Debt ($mil)||1377.7||1336.81|
|Profitability||Q3 FY12||Q3 FY11|
|Gross Profit Margin||42.86||37.52|
|Return on Assets||-23.28||-40.61|
|Return on Equity||-191.9||-146.39|
|Debt||Q3 FY12||Q3 FY11|
|Share Data||Q3 FY12||Q3 FY11|
|Shares outstanding (mil)||72.8||72.49|
|Div / share||0.0||0.0|
|Book value / share||3.3||9.02|
|Institutional Own %||n/a||n/a|
|Avg Daily Volume||1969317.0||746097.0|
SELL. The current P/E ratio is negative, which has no meaningful value in the assessment of premium or discount valuation, it simply displays that the company has negative earnings. For additional comparison, its price-to-book ratio of 0.10 indicates a significant discount versus the S&P 500 average of 2.32 and a significant discount versus the industry average of 6.20. The price-to-sales ratio is well below both the S&P 500 average and the industry average, indicating a discount. After reviewing these and other key valuation criteria, CENTRAL EUROPEAN DIST CORP proves to trade at a discount to investment alternatives within the industry.
|CEDC NM||Peers 22.44||CEDC NM||Peers 16.82|
Neutral. The absence of a valid P/E ratio happens when a stock can not be valued on the basis of a negative stream of earnings.
CEDC's P/E is negative making this valuation measure meaningless.
Neutral. The P/CF ratio, a stock’s price divided by the company's cash flow from operations, is useful for comparing companies with different capital requirements or financing structures.
CEDC's P/CF is negative making the measure meaningless.
|CEDC 5.99||Peers 20.60||CEDC NA||Peers 2.28|
Neutral. The absence of a valid price-to-projected earnings ratio happens when a stock can not be valued on the basis of a negative expected future earnings.
CEDC's ratio is negative making this valuation measure meaningless.
Neutral. The PEG ratio is the stock’s P/E divided by the consensus estimate of long-term earnings growth. Faster growth can justify higher price multiples.
Ratio not available.
|CEDC 0.10||Peers 6.20||CEDC 52.00||Peers 12.88|
Discount. A lower price-to-book ratio makes a stock more attractive to investors seeking stocks with lower market values per dollar of equity on the balance sheet.
CEDC is trading at a significant discount to its peers.
Higher. Elevated earnings growth rates can lead to capital appreciation and justify higher price-to-earnings ratios.
CEDC is expected to have an earnings growth rate that significantly exceeds its peers.
|CEDC 0.03||Peers 4.61||CEDC 4.26||Peers 5.23|
Discount. In the absence of P/E and P/B multiples, the price-to-sales ratio can display the value investors are placing on each dollar of sales.
CEDC is trading at a significant discount to its industry on this measurement.
Lower. A sales growth rate that trails the industry implies that a company is losing market share.
CEDC trails its peers on the basis of sales growth
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