Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Ediliziacrobatica S.p.A. operates as a specialized construction company predominantly in the building maintenance and renovation sector. Established in Italy and known for its innovative approach, the company focuses on rope-access techniques that allow its workforce to execute tasks on building exteriors without traditional scaffolding. This unique methodology reduces client costs and project timelines, while maintaining high safety and environmental standards. Ediliziacrobatica's services cover a wide range of activities, including cleaning, restoration, and securing building façades. The company's operations significantly impact urban development sectors, notably enhancing the sustainability and aesthetic appeal of city landscapes. With a team of expertly trained technicians, Ediliziacrobatica plays a crucial role in ensuring the longevity and safety of metropolitan structures. Its presence in the market highlights the growing demand for cost-effective and efficient building maintenance solutions. As a leader in the rope-access market, Ediliziacrobatica continues to expand its reach beyond Italy, establishing its services in various European cities.
Operating margin is thin at 1.66%. Limited cushion if revenue slows or costs rise, not the profile of a wide-moat business.
Revenue declined 2.7% YoY. Margins deteriorated 8.3pp alongside, both lines moving the wrong way.
ROIC dropped from 12.69% to 3.60%, capital efficiency is deteriorating. Operating margin contracted 8.3pp YoY, cost discipline may be slipping.
Profitability & Returns
Revenue (TTM)
€154M
▼ -2.7% YoY
Net Income (TTM)
-€3M
▼ -146.0% YoY
Op. Margin
1.66%
▼ -8.3pp YoY
ROIC
3.60%
▼ -9.1pp YoY
Cash Flow & Balance Sheet
FCF (TTM)
€22M
▲ +203.6% YoY
Op. Cash Flow (TTM)
€26M
▲ +262.3% YoY
Net Debt
-€7M
Net Cash Position
Cash & Equiv.
€25M
3Y CAGR: +20.9%
3Y CAGR: +19.0%
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