Constellium SE logo CSTM - Constellium SE

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 14
HOLD 3
SELL 0
STRONG
SELL
0
| PRICE TARGET: $36.25 DETAILS
HIGH: $40.00
LOW: $32.00
MEDIAN: $36.50
CONSENSUS: $36.25
UPSIDE: 9.06%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Revenue
Revenue 8,449 7,083.4 7,111.5 7,928.5 6,965.4 4,883 4,883 5,686 5,237 4,743 5,153 3,666 3,495 3,610 3,556
Cost of Revenue 6,180.7 6,177.6 6,152.8 7,033.6 6,213.6 4,393 4,393 5,148 4,682 4,208 4,703 3,183 3,024 3,132 3,239
Gross Profit 857 905.8 958.7 894.9 751.8 490 490 538 555 535 450 483 471 478 317
Operating Expenses
R&D Expenses 43.4 47.3 47.3 42.7 44.2 39 39 40 36 31 35 38 36 36 33
SG&A Expenses 282.6 302.3 288.1 263.9 292.1 237 237 247 247 253 245 200 210 212 216
Other Expenses 57.0 293.6 272.6 269.5 (132.5) 89 89 (153) (66) (16) 0 0 0 0 0
Operating Expenses 383 643.2 607.9 576.1 203.8 365 365 134 217 268 280 238 246 248 249
Operating Income
Operating Income 474 262.7 350.8 318.7 548.0 125 125 404 338 267 (426) 150 209 257 (63)
Interest Expense 114 112 115 126.1 154.8 174.4 189.2 149 243 194.7 226 29 50 64 35
Interest Income 0 0 16 0 0 0 0 7 7 5.5 71 0 17 4 2
Profitability
EBITDA 718.3 523.4 580.7 500.9 802.7 367 364 553 380 405 (426) 281 217 241 (32)
EBIT 474 229.8 308.0 231.4 500.4 108 108 356 209 250 (443) 121 166 227 (169)
Income Before Tax 408 130.4 210.8 139.4 358.9 (34) (34) 222 49 65 (584) 91 135 189 (204)
Income Tax Expense 133 72.4 68.2 (153.3) 62.3 (17) (17) 32 80 69 (32) 37 39 47 (34)
Net Income 273 54.1 138.1 286.2 291.0 (21) (21) 188 (31) (4) (554) 51 98 132 (179)
Per Share Data
EPS (Basic) 1.95 0.37 0.84 2.09 1.82 -0.15 0.43 1.40 -0.28 -0.04 -5.27 0.48 1.00 1.35 -1.74
EPS (Diluted) 1.92 0.37 0.84 2.05 1.75 -0.15 0.41 1.36 -0.28 -0.04 -5.25 0.48 0.99 1.35 -1.74
Shares Outstanding 139.7 145.5 148.8 143.6 141.0 138.7 136.9 134.8 110.2 105.5 105.1 104.6 98.2 102.8 102.8
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Current Assets
Cash & Cash Equivalents 120.0 141 180 177.2 167.2 537.1 206.5 164 269 347
Short-Term Investments 0 0 30 0 0 0 0 30 69 117
Net Receivables 722.8 486 388 566.7 766.5 489.4 523.1 483 312 241
Inventory 1,406.6 1,181 1,098 1,408.8 1,194.1 712.1 752.1 660 643 591
Other Current Assets 72.0 26 116 33.1 66.0 47.7 24.7 122 168 222
Total Current Assets 2,321.3 1,834 1,820 2,194.3 2,203.9 1,793.7 1,515.4 1,441 1,400 1,410
Non-Current Assets
Property, Plant & Equipment 2,584.2 2,408 2,047 2,152.6 2,215.3 2,332.1 2,307.9 1,666 1,517 1,477
Goodwill 47.0 46 462 510.1 512.9 510.2 510.7 422 403 457
Intangible Assets 88.0 97 47 57.6 66.0 74.6 78.6 70 68 79
Long-Term Investments 42.0 0 2 38.4 47.8 62.4 35.9 75 111 65
Other Non-Current Assets 0 38 281.3 31.0 28.4 42.8 40.4 64 48 47
Total Non-Current Assets 3,031.1 2,900 2,841 3,079.0 3,054.5 3,258.3 3,181.2 2,460 2,311 2,377
Total Assets 5,352.4 4,734 4,661 5,273.3 5,258.4 5,052.0 4,696.5 3,901 3,711 3,787
Current Liabilities
Account Payables 1,673.5 959 931 1,232.7 1,211.1 765.9 798.1 685 717 627
Short-Term Debt 39.0 39 54 158.0 293.4 112.6 225.6 60 96 107
Deferred Revenue 0 65 0 58.7 87.6 99.1 60.6 68 10 14
Other Current Liabilities 43.0 284 177 132.3 108.0 151.7 135.8 218 273 143
Total Current Liabilities 1,797.4 1,446 1,388 1,806.9 1,949.2 1,328.8 1,427.8 1,139 1,110 1,035
Non-Current Liabilities
Long-Term Debt 1,904.4 1,879 1,661.4 1,857.0 1,919.6 2,812.9 2,424.6 2,094 2,021 2,361
Deferred Tax Liabilities 70.0 39 28 29.9 15.9 12.2 26.9 22 25 30
Other Non-Current Liabilities 609.8 643 565.6 576.3 830.2 1,021.7 912.6 678 794 891
Total Non-Current Liabilities 2,584.2 2,561 2,409 2,663.9 2,978.3 3,846.8 3,364.1 2,876 2,920 3,322
Total Liabilities 4,381.7 4,007 3,797 4,470.7 4,927.5 5,175.6 4,792.0 4,015 4,030 4,357
Stockholders' Equity
Common Stock 4.0 4 3 3.2 3.4 3.7 3.4 3 3 2
Retained Earnings 353.9 203 420 158.0 (174.0) (501.7) (436.7) (545) (750) (743)
Accumulated Other Comprehensive Income 54.0 (14) 146 170.8 4.5 (156.6) (145.9) (951) (774) (710)
Total Stockholders' Equity 951.7 706 843 780.2 311.6 (140.7) (107.8) (122) (327) (579)
Total Liabilities & Equity 5,352.4 4,734 4,661 5,273.3 5,258.4 5,052.0 4,696.5 3,901 3,711 3,787
Debt Metrics
Total Debt 1,943.4 1,935 1,868 2,194.3 2,421.1 2,925.5 2,650.2 2,151 2,127 2,468
Net Debt 1,823.4 1,794 1,688 2,017.1 2,253.9 2,388.4 2,443.7 1,987 1,858 2,121
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Operating Activities
Net Income 272.9 54.1 152 316.3 296.6 26 59 190 (31) (4)
Depreciation & Amortization 329.9 293.6 300 301.6 302.3 259 256 197 171 155
Stock-Based Compensation 0 0 0 0 15 15 16 12 8 6
Change in Working Capital (222.9) (181.6) (119) (90.4) (261) 51 114 (297) (85) (47)
Other Non-Cash Items 109.0 52.1 24 78.8 (50.9) 0 (16) 163 250 153
Operating Cash Flow 488.9 290.7 432 472.9 357 334 447 66 160 88
Investing Activities
Capital Expenditure (329.9) (398.8) (366) (286.9) (232) (182) (271) (277) (276) (355)
Acquisitions 11.0 9.7 49 2.1 9.4 5.6 (83) 206.4 1.9 21
Purchases of Investments 0 0 0 0 0 0 0 0 (38.5) (44.0)
Sales/Maturities of Investments 0 0 0 0 0 0 0 0 0 0
Other Investing Activities 3.0 82.1 98 (1.1) 1.6 0.4 1 186 (16) (31)
Investing Cash Flow (315.9) (307.1) (219) (285.9) (221) (176) (353) (91) (292) (365)
Financing Activities
Net Debt Issuance (61.0) 13.5 (166) (126.1) (377) 118 (77) (83) (103) 158
Stock Repurchased (115.0) (76.3) 0 0 0 0 0 0 0 0
Dividends Paid 0 0 0 0 0 0 0 0 0 0
Other Financing Activities (32.0) 8.7 (8) (42.0) (58) (17) 1 1 164 (13)
Financing Cash Flow (207.9) (54.1) (174) (168.2) (435) 101 (76) (82) 61 145
Cash Position
Net Change in Cash (21.0) (79.2) 45.8 10.0 (292) 255 20 (105) (78) (129)
Cash at Beginning 141.0 215.4 177.2 167.2 439 184 164 269 347 476
Cash at End 120.0 136.2 223 177.2 147 439 184 164 269 347
Free Cash Flow 159.0 (108.2) 66 186.0 125 152 176 (211) (116) (267)
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Income Statement
Revenue 8,449 7,083.4 7,111.5 7,928.5 6,965.4 4,883 4,883 5,686 5,237 4,743 5,153 3,666 3,495 3,610 3,556
Gross Profit 857 905.8 958.7 894.9 751.8 490 490 538 555 535 450 483 471 478 317
Operating Income 474 262.7 350.8 318.7 548.0 125 125 404 338 267 (426) 150 209 257 (63)
Net Income 273 54.1 138.1 286.2 291.0 (21) (21) 188 (31) (4) (554) 51 98 132 (179)
EPS (Diluted) 1.92 0.37 0.84 2.05 1.75 -0.15 0.41 1.36 -0.28 -0.04 -5.25 0.48 0.99 1.35 -1.74
Balance Sheet
Cash & Equivalents 120.0 141 180 177.2 167.2 537.1 206.5 164 269 347
Total Assets 5,352.4 4,734 4,661 5,273.3 5,258.4 5,052.0 4,696.5 3,901 3,711 3,787
Total Debt 1,943.4 1,935 1,868 2,194.3 2,421.1 2,925.5 2,650.2 2,151 2,127 2,468
Stockholders' Equity 951.7 706 843 780.2 311.6 (140.7) (107.8) (122) (327) (579)
Cash Flow
Operating Cash Flow 488.9 290.7 432 472.9 357 334 447 66 160 88
Capital Expenditure (329.9) (398.8) (366) (286.9) (232) (182) (271) (277) (276) (355)
Free Cash Flow 159.0 (108.2) 66 186.0 125 152 176 (211) (116) (267)