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INDICATIVE · SAMPLE DATA
CAOR55

SIF Hoteluri SA

Restaurants & BarsVerified

SIF Hoteluri SA maintains a strong liquidity position, with a current ratio of 1.1 and no long-term debt, indicating a solid short-term financial health. The company's free cash flow of 394,720 RON and operating cash flow of 618,280 RON support its operational flexibility. However, the return on equity of 1.21% and return on assets of 0.33% suggest that the company is not generating strong returns relative to its equity and asset base. The company's profitability is mixed, with a net income of 348,980 RON despite an operating loss of -461,370 RON. This discrepancy may be due to non-operating income or gains, which are not detailed in the provided data. The gross profit of 276,430 RON indicates some level of cost control, but the operating loss suggests inefficiencies or high operating expenses. Geographic and segment exposure is not explicitly detailed in the available data, but the company's revenue of 390,910 RON suggests a relatively concentrated business model. Without further information on revenue by region or business line, it is difficult to assess the diversification of its income streams. The company's growth trajectory is not clearly defined in the provided data, as there are no forward-looking revenue projections or historical growth rates. The absence of capital expenditure beyond -2,290 RON implies a conservative approach to reinvestment, which may limit future growth potential. Risk factors for SIF Hoteluri SA are minimal in the short term, with no immediate liquidity or dilution concerns. The company's low debt-to-equity ratio of 0.0 and the absence of long-term debt reduce financial risk. However, the low return on equity and operating loss highlight operational risks that could affect long-term sustainability. Recent events, such as filings or transcripts, are not detailed in the provided data. The company's financial snapshot does not indicate any recent significant events that would impact its operations or financial position.

30-day price · CAOR-0.06 (-2.7%)
Low$2.08High$2.26Close$2.20As of20 May, 00:00 UTC
Profile
CompanySIF Hoteluri SA
TickerCAOR.BX
SectorConsumer Cyclicals
BusinessCyclical Consumer Services
Industry groupCyclical Consumer Services
IndustryRestaurants & Bars
AI analysis

Business. SIF Hoteluri SA operates in the Restaurants & Bars industry, generating revenue primarily through food and beverage services.

Classification. SIF Hoteluri SA is classified under the industry Restaurants & Bars, within the Cyclical Consumer Services business sector and the Consumer Cyclicals economic sector, with a confidence level of 0.92.

SIF Hoteluri SA maintains a strong liquidity position, with a current ratio of 1.1 and no long-term debt, indicating a solid short-term financial health. The company's free cash flow of 394,720 RON and operating cash flow of 618,280 RON support its operational flexibility. However, the return on equity of 1.21% and return on assets of 0.33% suggest that the company is not generating strong returns relative to its equity and asset base. The company's profitability is mixed, with a net income of 348,980 RON despite an operating loss of -461,370 RON. This discrepancy may be due to non-operating income or gains, which are not detailed in the provided data. The gross profit of 276,430 RON indicates some level of cost control, but the operating loss suggests inefficiencies or high operating expenses. Geographic and segment exposure is not explicitly detailed in the available data, but the company's revenue of 390,910 RON suggests a relatively concentrated business model. Without further information on revenue by region or business line, it is difficult to assess the diversification of its income streams. The company's growth trajectory is not clearly defined in the provided data, as there are no forward-looking revenue projections or historical growth rates. The absence of capital expenditure beyond -2,290 RON implies a conservative approach to reinvestment, which may limit future growth potential. Risk factors for SIF Hoteluri SA are minimal in the short term, with no immediate liquidity or dilution concerns. The company's low debt-to-equity ratio of 0.0 and the absence of long-term debt reduce financial risk. However, the low return on equity and operating loss highlight operational risks that could affect long-term sustainability. Recent events, such as filings or transcripts, are not detailed in the provided data. The company's financial snapshot does not indicate any recent significant events that would impact its operations or financial position.
Key takeaways
  • SIF Hoteluri SA has a strong liquidity position with no long-term debt and a current ratio of 1.1.
  • The company's profitability is mixed, with a net income of 348,980 RON despite an operating loss of -461,370 RON.
  • The return on equity of 1.21% and return on assets of 0.33% indicate weak returns relative to its equity and asset base.
  • The company's growth trajectory is unclear, with no detailed forward-looking projections or historical growth rates.
  • SIF Hoteluri SA has minimal short-term liquidity and dilution risks, but operational inefficiencies may affect long-term sustainability.
  • --
  • # RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyRON
Revenue$390.9k
Gross profit$276.4k
Operating income-$461.4k
Net income$349.0k
R&D
SG&A
D&A
SBC
Operating cash flow$618.3k
CapEx-$2.3k
Free cash flow$394.7k
Total assets$104.7M
Total liabilities$75.9M
Total equity$28.8M
Cash & equivalents$122.1k
Long-term debt$0.00
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$16.4M$4.8M$4.6M$6.9M
FY-3$20.4M$2.2M$1.7M$2.1M
FY-2$3.5M$5.8M$8.6M$8.8M
FY-1$2.0M-$1.6M$391.6k-$5.4M
FY0$1.9M-$1.3M-$927.2k-$7.7M
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$95.5M$88.3M$7.1M
FY-3$100.4M$92.8M$1.3M
FY-2$104.2M$28.5M$40.9k
FY-1$24.8M$23.1M$204.8k
FY0$18.5M$15.7M$213.6k
PeriodOCFCapExFCFSBC
FY-4$2.5M-$75.5k$6.9M
FY-3$4.5M-$15.7k$2.1M
FY-2-$828.2k-$4.2k$8.8M
FY-1$5.6k-$10.1k-$5.4M
FY0-$349.0k-$7.7M
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$390.9k-$461.4k$349.0k$394.7k
FQ-6$491.1k-$468.7k-$30.0k$13.0k
FQ-5$596.8k-$261.1k$342.1k$377.8k
FQ-4$514.8k-$404.0k-$269.5k-$231.3k
FQ-3$357.0k-$476.0k-$377.8k-$337.4k
FQ-2$462.8k-$369.8k-$272.9k-$7.2M
FQ-1$613.6k-$233.5k-$215.9k-$175.8k
FQ0$425.0k-$242.4k-$60.7k$5.3k
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$104.7M$28.8M$122.1k
FQ-6$24.7M$22.8M$223.1k
FQ-5$25.1M$23.1M$230.2k
FQ-4$24.8M$23.1M$204.8k
FQ-3$24.4M$22.7M$213.0k
FQ-2$17.2M$15.5M$226.1k
FQ-1$16.9M$15.3M$213.2k
FQ0$18.5M$15.7M$213.6k
PeriodOCFCapExFCFSBC
FQ-7$618.3k-$2.3k$394.7k
FQ-6$493.5k-$2.3k$13.0k
FQ-5$352.6k-$7.2k$377.8k
FQ-4$5.6k-$10.1k-$231.3k
FQ-3-$450.6k-$337.4k
FQ-2-$717.2k-$7.2M
FQ-1-$919.1k-$175.8k
FQ0-$349.0k$5.3k
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$28.8M
Net cash$122.1k
Current ratio1.1
Debt/Equity0.0
ROA0.3%
ROE1.2%
Cash conversion1.8%
CapEx/Revenue-0.6%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskLow
  • No immediate filing-based liquidity or dilution flags were detected.
Industry benchmarks
Activity: Restaurants & Bars · cohort 216 companies
MetricCAORActivity
Op margin-118.0%3.4% medp25 -1.5% · p75 7.5%bottom quartile
Net margin89.3%2.3% medp25 -2.3% · p75 5.7%top quartile
Gross margin70.7%54.7% medp25 29.3% · p75 66.3%top quartile
CapEx / revenue-0.6%-4.7% medp25 -9.3% · p75 -2.6%top quartile
Debt / equity0.0%76.6% medp25 26.3% · p75 151.3%bottom quartile
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-02 03:07 UTC#521840d7
Source: analysis-pipeline (hybrid)Generated: 2026-05-27 14:27 UTCJob: ae86d7a6