Maisons du Monde France SA (MDM)

Industry Home Improvement Retail

This stock can be held in an Investment ISA and an Investment Account
Sell

€3.78

Buy

€3.96

arrow-down€-0.07 (-1.82%)

Maisons du Monde France SA provides decoration and furniture collections. The Company offers household textiles, tableware, kitchenware, mirrors, picture frames, beds, tables, chairs, armchairs, sofas, cupboards, and bookshelves.
Prices updated at 21 Feb 2025, 16:35 CET
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Prices in EUR

Income statement

20162017201820192020202120222023
907m1,037m1,143m1,264m1,178m1,354m1,278m1,157m
620m700m766m839m798m915m840m751m
87m110m115m126m95m136m68m42m
9.5910.5710.049.988.0210.065.343.67
-12m63m60m59m1m77m34m9m
53m128m140m257m298m270m234m197m
Sales, General and administrative162m191m218m247m260m59m59m51m
Interest expenses35m6m7m19m20m18m18m20m
Provision for income taxes-13m25m33m35m34m26m18m5m
Operating expenses533m590m652m713m704m779m772m709m
Income before taxes-25m88m94m93m77m94m53m14m
Net income available to common shareholders-12m63m60m59m1m77m34m9m
-0.331.391.331.320.031.720.80.21
Net interest income-78m-17m-16m-31m-30m-29m-29m-31m
Advertising and promotion--------
Net investment income, net640,000135,000-329,0001m-416,000803,0002m-954,000
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)-0.331.381.261.260.031.620.790.21
Free cash flow per share1.28530.71921.51661.5894.93623.65263.17223.332
Book value/share0.38410.287811.740312.823913.495414.508116.25215.2008
Debt equity ratio0.5022190.428770.3918381.2438391.1758851.0381630.8200780.897344

Balance sheet

20162017201820192020202120222023
Current assets320m352m386m390m585m489m469m324m
Current liabilities230m258m273m350m593m437m676m443m
Total capital744m755m818m866m800m843m603m679m
Total debt286m226m243m899m1,009m816m837m690m
Total equity497m532m590m633m612m651m603m595m
Total non current liabilities--------
Loans247m223m228m233m188m192m267,00084m
Total assets1,071m1,124m1,211m1,878m1,968m1,844m1,853m1,647m
Total liabilities--------
Cash and cash equivalents60m100m57m94m297m163m121m30m
Common stock45m45m45m45m45m44m41m39m

Cash flow

20162017201820192020202120222023
Cash at beginning of period75m60m100m57m94m297m163m121m
Cash dividends paid--14m-20m-21m--14m-23m-12m
7m99m10m191m169m206m145m155m
Investments (gains) losses-66m-54m-75m-75m-51m-39m-60m-34m
60m100m57m94m297m163m121m25m
Net income--------
58m154m52m256m221m259m212m189m
-51m-55m-42m-64m-52m-52m-67m-34m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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