PAKT Tobacco
Consumer Non-Durables
Mkt Cap
344.2B
P/E (TTM)
10.45
EPS
116.85
ROE
66.29%
Div Yield
8.91%
5 years
FY2025FY2024FY2023FY2022FY2021
Profitability
Return on Equity (ROE)60.16%53.63%74.31%95.61%100.63%
Return on Assets (ROA)30.98%26.99%31.77%34.11%38.35%
Return on Invested Capital56.20%50.82%71.12%90.81%93.19%
Gross Margin45.96%46.74%52.89%47.96%45.22%
Operating Margin34.64%36.53%38.92%34.69%33.31%
EBITDA Margin36.71%38.38%40.88%36.96%35.58%
Net Margin21.48%22.95%26.34%22.48%25.15%
Pre-Tax Margin36.77%40.88%45.39%36.61%34.95%
Liquidity
Current Ratio1.491.851.611.261.11
Quick Ratio0.220.490.730.660.40
Leverage
Debt / Equity0.090.070.070.150.24
Debt / Assets0.040.040.030.060.08
LT Debt / Equity0.080.060.050.040.08
LT Debt / Assets0.040.030.020.010.03
Net Debt1.62B-9.76B-29.07B-19.31B-6.35B
Total Debt4.39B3.88B3.42B4.09B4.30B
Efficiency
Asset Turnover1.441.181.211.521.52
Inventory Turnover1.441.321.422.051.92
Per Share
Book Value Per Share183.82204.66200.85104.2170.35
Tangible Book Per Share183.82204.66200.85104.2170.35
Cash Per Share10.8553.41127.1991.5941.67
Total Debt Per Share17.1915.1913.3916.0216.83
Working Capital Per Share82.62122.56128.7543.2413.47
Shares & Market
Total Shares Outstanding255,493,792255,493,792255,493,792255,493,792255,493,792
Market Cap393.89B340.26B288.86B246.28B305.98B
Enterprise Value395.51B330.50B259.78B226.97B299.63B
Employees1,0531,0341,0111,0501,066
Shareholders4,5724,5724,5724,5724,572