Diebold Nixdorf Incorporated

Visual Financials
Company Name: Diebold Nixdorf Inc
Ticker Symbol: DBD
CIK Number: 0000028823
WWW Address: http://www.dieboldnixdorf.com
CEO: Andreas Mattes
No. of Employees: 25,000
Common Issue Type: CS
Business Description:Diebold Incorporated is engaged in providing integrated self-service delivery and security systems and services to the financial, commercial, government and retail markets.

 
Industry Information: COMPUTER SOFWARE & SERVICES - Application Software [more like this]
 Price  Day Change  Bid  Ask  Open  High  Low  Volume 
 27.7 Down -1.35 - - 28.9 29.05 27.55 893777
 Market Cap (mil) Shares Outstanding (mil) Beta EPS DPS P/E Yield 52-Wks-Range
 2,089.8 75.4 0.00 -0.48 0.40 0.0 2.8 31.85 - 21.05
KEY FIGURES (Latest Twelve Months - LTM)
Yesterday's Close27.70$
PE Ratio - LTM0.0
Market Capitalisation2,089.8mil
Latest Shares Outstanding75.4mil
Earnings pS (EPS)-0.48$
Dividend pS (DPS)0.40¢
Dividend Yield2.8%
Dividend Payout Ratio%
Revenue per Employee$
Effective Tax Rate0.0%
Float67.3mil
Float as % of Shares Outstanding0.9%
Foreign Sales2,296mil
Domestic Sales1,020mil
Selling, General & Adm/tive (SG&A) as % of Revenue0.20%
Research & Devlopment (R&D) as % of Revenue0.00%
Gross Profit Margin21.8%
EBITDA Margin-0.1%
Pre-Tax Profit Margin0.0%
Assets Turnover88.2%
Return on Assets (ROA)-0.9%
Return on Equity (ROE)-6.6%
Return on Capital Invested (ROCI)1.4%
Current Ratio1.4
Leverage Ratio (Assets/Equity)8.9
Interest Cover-1.4
Total Debt/Equity (Gearing Ratio)3.04
LT Debt/Total Capital74.0%
Working Capital pS10.54$
Cash pS0.00$
Book-Value pS7.84$
Tangible Book-Value pS-15.64$
Cash Flow pS0.41$
Free Cash Flow pS-0.16$
KEY FIGURES (LTM): Price info
Price/Book Ratio3.53
Price/Tangible Book Ratio0.00
Price/Cash Flow67.6
Price/Free Cash Flow-172.4
P/E as % of Industry Group467.0%
P/E as % of Sector Segment475.0%
 
Balance Sheet (at a glance) in Millions
DIVIDEND INFO
Type of PaymentCash Payment
Dividend Rate0.40
Current Dividend Yield2.8
5-Y Average Dividend Yield3.6
Payout Ratio0.0
5-Y Average Payout Ratio97.0
Share price performance previous 3 years

Share price performance intraday

 
PRICE/VOLUMEHighLowClose% Price Chg% Price Chg vs. Mkt.Avg. Daily VolTotal Vol
1 Week---1.82612,8852,889,484
4 Weeks31.0027.5529.35-1.0-1659,49613,189,928
13 Weeks31.8525.1525.7013.09887,95956,829,394
26 Weeks31.8521.0522.2530.6211,005,119125,639,943
52 Weeks31.8521.0528.023.7-9833,635210,076,144
YTD31.8524.90-12.89870,54666,161,516
Moving Average5-Days10-Days10-Weeks30-Weeks200-DaysBeta (60-Mnth)Beta (36-Mnth)
28.5728.6529.5226.1326.320.000.00
 
GROWTH RATES5-Year
Growh
R² of 5-Year Growth3-Year
Growth
Revenue0.030.30.05
Income0.0
Dividend-0.030.0-0.06
Capital Spending-0.33NA-0.39
R&D2.45NA5.93
Normalized Inc.-0.23NA-12.57
 
CHANGESYTD vs.
Last YTD
Curr Qtr vs.
Qtr 1-Yr ago
Annual vs.
Last Annual
Revenue %-9.3-9.35.5
Earnings %-100.0-100.0-44.5
EPS %-100.0-100.0-45.1
EPS $-0.92-0.92-1.01
 
SOLVENCY RATIOS
SHORT-TERM SOLVENCY RATIOS (LIQUIDITY)
Net Working Capital Ratio15.09
Current Ratio1.4
Quick Ratio (Acid Test)0.9
Liquidity Ratio (Cash)0.75
Receivables Turnover5.3
Average Collection Period68
Working Capital/Equity134.4
Working Capital pS10.55
Cash-Flow pS0.41
Free Cash-Flow pS-0.16
FINANCIAL STRUCTURE RATIOS
Altman's Z-Score Ratio0.97
Financial Leverage Ratio (Assets/Equity)3.0
Debt Ratio34.1
Total Debt/Equity (Gearing Ratio)3.04
LT Debt/Equity2.86
LT Debt/Capital Invested119.4
LT Debt/Total Liabilities94.1
Interest Cover0.0
Interest/Capital Invested2.94
 
VALUATION RATIOS
MULTIPLES
PQ Ratio0.00
Tobin's Q Ratio0.40
Current P/E Ratio - LTM0.00
Enterprise Value (EV)/EBITDA-2,571.03
Enterprise Value (EV)/Free Cash Flow-363.65
Dividend Yield2.8
Price/Tangible Book Ratio - LTM0.00
Price/Book Ratio - LTM3.53
Price/Cash Flow Ratio67.6
Price/Free Cash Flow Ratio - LTM-172.4
Price/Sales Ratio0.00
P/E Ratio (1 month ago) - LTM99.2
P/E Ratio (26 weeks ago) - LTM11.2
P/E Ratio (52 weeks ago) - LTM12.5
5-Y High P/E Ratio-16.8
5-Y Low P/E Ratio-8.2
5-Y Average P/E Ratio0.0
Current P/E Ratio as % of 5-Y Average P/E
P/E as % of Industry Group467.0
P/E as % of Sector Segment475.0
Current 12 Month Normalized P/E Ratio - LTM57.0
PER SHARE FIGURES
LT Debt pS26.10
Current Liabilities pS28.16
Tangible Book Value pS - LTM-15.64
Book Value pS - LTM7.84
Capital Invested pS31.68
Cash pS - LTM0.00
Cash Flow pS - LTM0.41
Free Cash Flow pS - LTM-0.16
Earnings pS (EPS)-0.48
 
OPERATING RATIOS
PROFITABILITY RATIOS
Free Cash Flow Margin-0.33
Free Cash Flow Margin 5YEAR AVG1.38
Net Profit Margin0.0
Net Profit Margin - 5YEAR AVRG.0.0
Equity Productivity5.61
Return on Equity (ROE)-0.1
Return on Equity (ROE) - 5YEAR AVRG.0.0
Capital Invested Productivity1.39
Return on Capital Invested (ROCI)0.0
Return on Capital Invested (ROCI) - 5YEAR AVRG.0.0
Assets Productivity0.90
Return on Assets (ROA)0.0
Return on Assets (ROA) - 5YEAR AVRG.0.0
Gross Profit Margin21.8
Gross Profit Margin - 5YEAR AVRG.0.2
EBITDA Margin - LTM-0.1
EBIT Margin - LTM-4.1
Pre-Tax Profit Margin0.0
Pre-Tax Profit Margin - 5YEAR AVRG.0.0
Effective Tax Rate-35.2
Effective Tax Rate - 5YEAR AVRG.19.4
EFFICIENCY RATIOS
Cash Conversion Cycle13,392,363
Revenue per Employee
Net Income per Employee
Average Collection Period13,392,363
Receivables Turnover5.3
Day's Inventory Turnover Ratio
Inventory Turnover4.7
Inventory/Sales22.2
Accounts Payble/Sales20.12
Assets/Revenue1.11
Net Working Capital Turnover4.17
Fixed Assets Turnover1.25
Total Assets Turnover0.9
Revenue per $ Cash5.08
Revenue per $ Plant8.57
Revenue per $ Common Equity5.61
Revenue per $ Capital Invested1.39
Selling, General & Adm/tive (SG&A) as % of Revenue23.0
SG&A Expense as % of Revenue - 5YEAR AVRG.1.0
Research & Devlopment (R&D) as % of Revenue3.3
R&D Expense as % of Revenue - 5YEAR AVRG.3.3

  


Your Recent History
LSE
GKP
Gulf Keyst..
LSE
QPP
Quindell
FTSE
UKX
FTSE 100
LSE
IOF
Iofina
FX
GBPUSD
UK Sterlin..
Stocks you've viewed will appear in this box, letting you easily return to quotes you've seen previously.

Register now to create your own custom streaming stock watchlist.


NYSE, AMEX, and ASX quotes are delayed by at least 20 minutes.
All other quotes are delayed by at least 15 minutes unless otherwise stated.