Carlo Gavazzi Holding AG
SIX:GAV

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Carlo Gavazzi Holding AG Logo
Carlo Gavazzi Holding AG
SIX:GAV
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Price: 162 CHF -0.31% Market Closed
Market Cap: 115.1m CHF

Intrinsic Value

The intrinsic value of one GAV stock under the Base Case scenario is 264.29 CHF. Compared to the current market price of 162 CHF, Carlo Gavazzi Holding AG is Undervalued by 39%.

The Intrinsic Value is calculated as the average of DCF and Relative values:

GAV Intrinsic Value
264.29 CHF
Undervaluation 39%
Intrinsic Value
Price
Worst Case
Base Case
Best Case

Valuation History
Carlo Gavazzi Holding AG

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Fundamental Analysis

Company Overview
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Economic Moat
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Management
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Contacts
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How do you feel about GAV?
Bearish
Neutral
Bullish
Financials
Annual
Quarterly
TTM
Annual
Quarterly
TTM

Balance Sheet Decomposition
Carlo Gavazzi Holding AG

Current Assets 137.5m
Cash & Short-Term Investments 69.8m
Receivables 31.7m
Other Current Assets 36m
Non-Current Assets 32.5m
PP&E 19m
Intangibles 6.7m
Other Non-Current Assets 6.9m
Current Liabilities 31.2m
Accounts Payable 8.4m
Other Current Liabilities 22.8m
Non-Current Liabilities 8.5m
Long-Term Debt 3.6m
Other Non-Current Liabilities 4.9m
Efficiency

Free Cash Flow Analysis
Carlo Gavazzi Holding AG

Last Value
3-Years Average
FCF Margin
Conversion Rate

Earnings Waterfall
Carlo Gavazzi Holding AG

Revenue
134.5m CHF
Cost of Revenue
-62.4m CHF
Gross Profit
72.1m CHF
Operating Expenses
-67.4m CHF
Operating Income
4.7m CHF
Other Expenses
-2.7m CHF
Net Income
2m CHF
Fundamental Scores

GAV Profitability Score
Profitability Due Diligence

Carlo Gavazzi Holding AG's profitability score is 45/100. The higher the profitability score, the more profitable the company is.

Positive 3Y Average ROIC
Exceptional Gross Margin
Strong 3Y Average Gross Margin
Positive 3Y Average ROE
45/100
Profitability
Score

Carlo Gavazzi Holding AG's profitability score is 45/100. The higher the profitability score, the more profitable the company is.

GAV Solvency Score
Solvency Due Diligence

Carlo Gavazzi Holding AG's solvency score is 82/100. The higher the solvency score, the more solvent the company is.

Short-Term Solvency
Long-Term Solvency
Negative Net Debt
Low D/E
82/100
Solvency
Score

Carlo Gavazzi Holding AG's solvency score is 82/100. The higher the solvency score, the more solvent the company is.

Wall St
Price Targets

GAV Price Targets Summary
Carlo Gavazzi Holding AG

There are no price targets for GAV.
Lowest
Price Target
Not Available
Average
Price Target
Not Available
Highest
Price Target
Not Available
View Analyst Estimates
View Analyst Estimates

Dividends

Dividend Yield
Lowest
Average
Highest
Dividend Per Share
N/A
Growth 3Y
Growth 5Y
Growth 10Y
Dividend Safety Score
Very
Unsafe
Unsafe
Safe
Very
Safe
0
25
50
75
100
Shareholder Yield

Current shareholder yield for GAV is .

Shareholder yield represents the total return a company provides to its shareholders, calculated as the sum of dividend yield, buyback yield, and debt paydown yield. What is shareholder yield?

Shareholder Yield
Dividend Yield
Lowest
Average
Highest
Buyback Yield
Lowest
Average
Highest
Debt Paydown Yield
Lowest
Average
Highest

Competitive Landscape

Company Market Cap Intrinsic Valuation Profitability Solvency Price Change
1Y 3Y 5Y
What is the Intrinsic Value of one GAV stock?

The intrinsic value of one GAV stock under the Base Case scenario is 264.29 CHF.

Is GAV stock undervalued or overvalued?

Compared to the current market price of 162 CHF, Carlo Gavazzi Holding AG is Undervalued by 39%.

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