PAEL Electrical Products
Producer Manufacturing
Mkt Cap
38.2B
P/E (TTM)
9.28
EPS
4.24
ROE
8.57%
Div Yield
5 years
FY2025FY2024FY2023FY2022FY2021
Profitability
Return on Equity (ROE)8.25%5.56%3.30%2.89%4.77%
Return on Assets (ROA)4.77%3.34%1.93%1.64%2.70%
Return on Invested Capital7.62%5.19%3.09%2.53%4.01%
Gross Margin26.61%26.53%26.42%19.34%20.54%
Operating Margin13.40%14.74%15.78%10.29%10.22%
EBITDA Margin15.58%17.24%19.09%12.73%13.01%
Net Margin6.06%4.46%3.51%2.04%3.71%
Pre-Tax Margin9.50%7.79%6.39%4.48%5.15%
Liquidity
Current Ratio1.872.251.971.872.27
Quick Ratio1.031.371.171.151.47
Leverage
Debt / Equity0.460.410.390.590.57
Debt / Assets0.260.240.230.330.33
LT Debt / Equity0.070.100.040.090.20
LT Debt / Assets0.040.060.020.050.11
Net Debt20.70B15.75B14.14B21.29B18.78B
Total Debt22.92B17.89B15.97B22.88B20.09B
Efficiency
Asset Turnover0.790.750.550.800.73
Inventory Turnover2.292.461.823.092.97
Per Share
Book Value Per Share53.5250.6047.8744.9960.76
Tangible Book Per Share53.2350.2847.5444.6560.25
Cash Per Share2.442.502.142.072.31
Total Debt Per Share25.2420.9018.6629.7135.31
Working Capital Per Share27.1827.4721.5521.7533.63
Shares & Market
Total Shares Outstanding923,649,501856,012,155856,012,155856,012,155569,061,611
Market Cap52.96B37.54B19.33B11.09B11.21B
Enterprise Value72.77B53.74B33.92B31.71B30.43B
Employees5,3424,7884,2384,9215,745
Shareholders19,63519,63519,63519,63519,635