Mitarbeiter: 32 (2023.0)Rechtsform: SCA (commandite par actions)Größe: ETIGründungsdatum: 1954-01-01 (72 Jahre)Status: AktivBranche: Fabrication d'autres produits chimiques inorganiques de base n.c.a.Standort: THANN (68800), Haut-Rhin
POTASSE ET PRODUITS CHIMIQUES SAS : revenue, balance sheet and financial ratios
POTASSE ET PRODUITS CHIMIQUES SAS is a French company
founded 72 years ago,
specialized in the sector Fabrication d'autres produits chimiques inorganiques de base n.c.a..
Based in THANN (68800),
this company of category ETI
shows in 2024 a revenue of 128.0 M€.
Find below the complete financial statements, solvency ratios, working capital requirements and sector comparison.
Historique financier - POTASSE ET PRODUITS CHIMIQUES SAS (SIREN 775642853)
Kennzahl
2024
2021
2020
2019
2018
2017
Umsatz
127 995 824 €
113 304 866 €
103 170 703 €
112 488 254 €
109 772 937 €
102 873 244 €
Nettoergebnis
11 161 395 €
-2 524 583 €
-3 372 409 €
1 248 355 €
477 512 €
-1 361 959 €
EBITDA
10 237 495 €
2 177 133 €
4 254 279 €
7 186 023 €
3 590 590 €
1 040 123 €
Nettomarge
8.7%
-2.2%
-3.3%
1.1%
0.4%
-1.3%
Umsatz und Gewinn- und Verlustrechnung
In 2024, POTASSE ET PRODUITS CHIMIQUES SAS achieves revenue of 128.0 M€. Revenue is growing positively over 6 years (CAGR: +3.2%). Vs 2021, growth of +13% (113.3 M€ -> 128.0 M€). After deducting consumption (47.3 M€), gross margin stands at 80.7 M€, i.e. a rate of 63%. This ratio measures the ability to generate value from commercial activity. EBITDA (= Gross margin - Personnel expenses - Taxes) reaches 10.2 M€, representing 8.0% of revenue. Positive scissor effect: EBITDA margin improves by +6.1 pts, sign of improved operational efficiency. The operating margin remains fragile, requiring cost vigilance. Ultimately, net income (= EBIT +/- financial result +/- exceptional - corporate tax) amounts to 11.2 M€, i.e. 8.7% of revenue. This profit can be retained or distributed to shareholders.
Umsatz (2024)
?
Umsatz
Definition
Gesamtbetrag der Verkäufe von Waren und Dienstleistungen des Unternehmens.
Formel
Warenverkäufe + Verkaufte Produktion
127 995 824 €
Bruttomarge (2024)
?
Bruttomarge
Definition
Differenz zwischen Umsatz und Wareneinsatz.
Formel
Umsatz - Wareneinsatz
80 678 931 €
EBITDA (2024)
?
EBITDA (Betriebsergebnis vor Abschreibungen)
Definition
Ressource générée par l'activité courante, avant amortissements et charges financières.
Formel
Wertschöpfung - Personalkosten - Steuern
Interpretation
Positiv = rentable Tätigkeit
10 237 495 €
EBIT (2024)
?
EBIT (Betriebsergebnis)
Definition
Betriebsergebnis, einschließlich Abschreibungen und Rückstellungen.
Formel
EBITDA - Abschreibungen und Rückstellungen + Auflösungen
3 663 812 €
Nettoergebnis (2024)
?
Nettoergebnis
Definition
Bénéfice ou perte après toutes les charges, y compris impôts et éléments exceptionnels.
Le compte de résultat détaillé n'est pas disponible pour cette entreprise (liasse simplifiée ou données confidentielles).
Évolution graphique
Anzeigen :
Visualisierung erstellt mit numbers.finance Sources : INPI & BCE - Anpassungen : Ministère de l'Économie
Aktiva
Chargement des données...
Poste
Brutto
Abschr.
Netto
%
Entwicklung
Données de bilan actif non disponibles pour cette entreprise
Passiva
Chargement des données...
Poste
Jahr
%
Entwicklung
Données de bilan passif non disponibles pour cette entreprise
Solvenz- und Verschuldungskennzahlen
The debt ratio (= Financial debt / Equity x 100) stands at 101%. Debt level is high: negotiating margin with banks is reduced. Financial autonomy (= Equity / Total assets x 100) reaches 29%. The balance between equity and debt is satisfactory. Debt repayment capacity (= Financial debt / Cash flow) indicates it would take 3.9 years of cash flow to repay all financial debt. This ratio remains within usual banking standards. Cash flow represents 6.7% of revenue. Cash flow measures resources generated by operations, available for investment and debt repayment. Satisfactory level allowing partial financing of growth.
Verschuldungsgrad (2024)
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Verschuldungsgrad
Definition
Misst das Verhältnis von Schulden zu Eigenkapital.
Formel
(Finanzschulden / Eigenkapital) x 100
Interpretation
< 50% : Faible 50-100% : Moderat > 100% : Hoch
100.737%
Finanzielle Autonomie (2024)
?
Finanzielle Autonomie
Definition
Anteil des Eigenkapitals an der Gesamtfinanzierung.
Entwicklung der Solvenzkennzahlen POTASSE ET PRODUITS CHIMIQUES SAS
Visualisierung erstellt mit numbers.finance Sources : INPI & BCE - Anpassungen : Ministère de l'Économie
Kennzahl
2017
2018
2019
2020
2021
2024
Verschuldungsgrad
183.976
173.858
146.872
246.162
301.925
100.737
Finanzielle Autonomie
22.201
20.299
21.49
19.209
15.233
29.332
Rückzahlungsfähigkeit
106.396
14.344
5.186
11.751
11.232
3.921
Cashflow / Umsatz
0.396%
2.59%
5.801%
3.816%
3.632%
6.726%
Positionnement sectoriel
Debt ratio
100.742024
2020
2021
2024
Q1: 0.0
Méd: 2.78
Q3: 24.44
Watch
In 2024, the debt ratio of POTASSE ET PRODUITS CHIMI... (100.74) ranks in the top 25% of the sector. This ratio measures the weight of debt relative to equity. A high ratio may indicate excessive dependence on external financing.
Financial autonomy
29.33%2024
2020
2021
2024
Q1: 37.18%
Méd: 52.32%
Q3: 73.27%
Watch
In 2024, the financial autonomy of POTASSE ET PRODUITS CHIMI... (29.3%) ranks in the bottom 25% of the sector. This ratio represents the share of equity in total financing. Low autonomy may limit investment capacity and increase vulnerability.
Repayment capacity
3.92 years2024
2020
2021
2024
Q1: 0.0 years
Méd: 0.05 years
Q3: 1.18 years
Watch+13 pts über 3 Jahre
In 2024, the repayment capacity of POTASSE ET PRODUITS CHIMI... (3.92) ranks in the top 25% of the sector. This ratio indicates the number of years needed to repay debt with cash flow. A long duration may signal heavy debt relative to repayment capacity.
Liquiditätskennzahlen
The liquidity ratio (= Current assets / Current liabilities) stands at 197.07. Concretely, the company has €2 of liquid assets for every €1 of short-term debt: no cash risk within 12 months. The interest coverage ratio (= EBIT / Interest expenses) is 12.3x. Operating income very largely covers interest expenses: high safety margin.
Liquiditätsquote (2024)
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Liquiditätsquote
Definition
Fähigkeit, kurzfristige Schulden mit dem Umlaufvermögen zu decken.
Formel
Umlaufvermögen / Kurzfristige Verbindlichkeiten
Interpretation
> 1.5 : Sehr gut 1-1.5 : Angemessen < 1 : Risque de liquidité
197.074
Zinsdeckung (2024)
?
Zinsdeckung
Definition
Fähigkeit, Zinsaufwendungen mit dem Betriebsergebnis zu decken.
Entwicklung der Liquiditätskennzahlen POTASSE ET PRODUITS CHIMIQUES SAS
Visualisation créée via abddaf.fr Sources : INPI & BCE - Retraitements : Ministère de l'économie
Kennzahl
2017
2018
2019
2020
2021
2024
Liquiditätsquote
109.498
104.133
93.909
123.802
112.96
197.074
Zinsdeckung
143.405
24.275
10.921
23.401
35.124
12.341
Positionnement sectoriel
Liquidity ratio
197.072024
2020
2021
2024
Q1: 110.5
Méd: 196.93
Q3: 369.67
Good+18 pts über 3 Jahre
In 2024, the liquidity ratio of POTASSE ET PRODUITS CHIMI... (197.07) ranks above the median of the sector. This ratio measures the ability to cover short-term debt with current assets. This comfortable position offers an appreciable safety margin.
Interest coverage
12.34x2024
2020
2021
2024
Q1: 0.0x
Méd: 3.18x
Q3: 8.53x
Excellent
In 2024, the interest coverage of POTASSE ET PRODUITS CHIMI... (12.3x) ranks in the top 25% of the sector. This ratio indicates how many times operating income covers interest expenses. High coverage means financial charges weigh little on profitability.
Umlaufvermögensbedarf und Zahlungsfristen
Working capital requirement (WCR) measures the cash timing gap between customer collections and supplier/inventory payments. Average customer payment term: 45 days (formula: Customer receivables / Revenue incl. VAT x 360). Supplier term: 70 days. Favorable situation: supplier credit is longer than customer credit by 25 days. Inventory turnover is 53 days (= Average inventory / Cost of goods x 360). Overall, WCR represents 125 days of revenue, i.e. 44.5 M€ to permanently finance. Over 2017-2024, WCR increased by +197%, requiring additional financing.
Operatives Working Capital (2024)
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Operatives Working Capital
Definition
Besoin de financement généré par le cycle d'exploitation (stocks + créances - dettes fournisseurs).
(Lieferantenverbindlichkeiten / Einkäufe inkl. MwSt.) x 360
Interpretation
Je länger die Frist, desto besser für die Liquidität
70 j
Lagerumschlag (2024)
?
Lagerumschlag (Tage)
Definition
Durchschnittliche Lagerdauer für Waren oder Materialien.
Formel
(Vorräte / Einkaufskosten) x 360
Interpretation
Je niedriger das Verhältnis, desto schneller der Umschlag
53 j
Working Capital in Umsatztagen (2024)
?
Working Capital in Umsatztagen
Definition
Drückt den Betriebskapitalbedarf in Umsatztagen aus.
Formel
(BFR exploitation / CA) x 360
Interpretation
Je weniger Tage, desto besser das Working Capital Management
125 j
Entwicklung des Working Capital und der Zahlungsfristen POTASSE ET PRODUITS CHIMIQUES SAS
Visualisierung erstellt mit numbers.finance Sources : INPI & BCE - Anpassungen : Ministère de l'Économie
Kennzahl
2017
2018
2019
2020
2021
2024
BFR d'exploitation
14 960 856 €
366 642 €
2 519 737 €
19 119 595 €
23 858 606 €
44 486 229 €
Lagerumschlag (Tage)
60
55
65
67
57
53
Crédit clients (jours)
24
26
19
10
21
45
Crédit fournisseurs (jours)
76
54
47
75
91
70
Positionnement de POTASSE ET PRODUITS CHIMIQUES SAS dans son secteur
Vergleich mit der Branche Fabrication d'autres produits chimiques inorganiques de base n.c.a.
Bewertungsschätzung
Based on 74 transactions of similar company sales
(all years),
the value of POTASSE ET PRODUITS CHIMIQUES SAS is estimated at
8 618 043 €
(range 4 262 220€ - 26 431 408€).
With an EBITDA of 10 237 495€, the sector multiple of 0.6x is applied.
The price/revenue ratio is 0.11x
(conservative valuation).
This multiples method compares the actual sale price of similar companies to their financial indicators (Revenue, EBITDA, Net Income). It provides a market-based indicative estimate. Medium reliability: estimate to be confirmed with in-depth analysis.
Estimated enterprise value2024
74 tx
4262k€8618k€26431k€
8 618 043 €Range: 4 262 220€ - 26 431 408€
Section all-time
Aggregated at NAF section level
Valuation detail by method
Ajustez les pondérations selon votre analyse
EBITDA Multiple50%
10 237 495 €×0.6x
Estimation6 398 698 €
1 938 512€ - 14 755 597€
Revenue Multiple30%
127 995 824 €×0.11x
Estimation14 059 605 €
9 175 088€ - 31 987 708€
Net Income Multiple20%
11 161 395 €×0.5x
Estimation6 004 066 €
2 702 190€ - 47 286 486€
How is this estimate calculated?
This estimate is based on the analysis of 74 actual transactions of similar company sales (same NAF code) registered with BODACC between 2016 and 2025.
EBITDA Multiple: Preferred method for profitable SMEs. EBITDA reflects the ability to generate cash.
Revenue Multiple: Used for growing companies or those with low profitability. Reflects commercial potential.
Net Income Multiple: Relevant for mature companies with stable results.
This estimate is provided for information purposes only. A precise valuation requires in-depth analysis (assets, liabilities, prospects, market...).
Similar companies (Fabrication d'autres produits chimiques inorganiques de base n.c.a.)
Compare POTASSE ET PRODUITS CHIMIQUES SAS with other companies in the same sector:
Frequently asked questions about POTASSE ET PRODUITS CHIMIQUES SAS
What is the revenue of POTASSE ET PRODUITS CHIMIQUES SAS ?
The revenue of POTASSE ET PRODUITS CHIMIQUES SAS in 2024 is 128.0 M€.
Is POTASSE ET PRODUITS CHIMIQUES SAS profitable?
Yes, POTASSE ET PRODUITS CHIMIQUES SAS generated a net profit of 11.2 M€ in 2024.
Where is the headquarters of POTASSE ET PRODUITS CHIMIQUES SAS ?
The headquarters of POTASSE ET PRODUITS CHIMIQUES SAS is located in THANN (68800), in the department Haut-Rhin.
Where to find the tax return of POTASSE ET PRODUITS CHIMIQUES SAS ?
The tax return of POTASSE ET PRODUITS CHIMIQUES SAS is available on this page. Click on a year in the 'Data by year' section to view the account details (assets, liabilities, income statement). Data comes from INPI (National Institute of Industrial Property).
In which sector does POTASSE ET PRODUITS CHIMIQUES SAS operate?
POTASSE ET PRODUITS CHIMIQUES SAS operates in the sector Fabrication d'autres produits chimiques inorganiques de base n.c.a. (NAF code 20.13B). See the 'Sector positioning' section above to compare the company with its competitors.
Item evolution
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