IAR Systems Group AB (publ) (IARGF) Financial Metrics
This dashboard provides comprehensive financial metrics and analysis to help evaluate IAR Systems Group AB (publ)'s investment potential. View key valuation ratios, profitability metrics, growth indicators, and historical trends to make informed investment decisions.
Financial Metrics Score
Valuation Metrics
Sector benchmarks: Industrials
P/E Ratio
12.40
Strong
WeakModerateStrong
P/B Ratio
3.63
Strong
WeakModerateStrong
Earnings Yield
8.06%
Strong
WeakModerateStrong
Profitability Health
2024Return on Equity
29.23%
Strong
WeakModerateStrong
Operating Margin
24.45%
Strong
WeakModerateStrong
Net Profit Margin
27.75%
Strong
WeakModerateStrong
Growth Indicators
2024Revenue Growth
-1.27%
Weak
WeakModerateStrong
Net Income Growth
159.40%
Strong
WeakModerateStrong
EPS Growth
160.64%
Strong
WeakModerateStrong
Efficiency & Liquidity
2024Current Ratio
1.51
Moderate
WeakModerateStrong
Quick Ratio
1.47
Moderate
WeakModerateStrong
Asset Turnover
0.67x
Moderate
WeakModerateStrong
Inventory Turnover
29.99x
Strong
WeakModerateStrong
Cash Flow & Resilience
Core fortress metrics for cash-rich balance sheets in high-inflation / tech-volatility regimes
Free Cash Flow Yield
4.82%
Strong
WeakModerateStrong
EV / Free Cash Flow
19.37x
Strong
WeakModerateStrong
Net Debt / EBITDA
-0.61x
Strong
WeakModerateStrong
Interest Burden (EBT / EBIT)
1.045
Strong
WeakModerateStrong
Return on Invested Capital
22.15%
Strong
WeakModerateStrong
Cash Conversion Cycle
76.77 days
Weak
WeakModerateStrong
Fortress screener guardrails
3/4 passing
- FCF Yield > 3%
- Net Debt / EBITDA < 1.5x
- ROIC > 20%
- Cash Conversion Cycle < 0 days
Financial Statements
Want to see the complete financial picture? View detailed financial statements including income statements, balance sheets, and cash flow statements for IARGF.
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