Stock Scorer

Develia S.A. (DVL.WA)

Every figure this model derived for DVL.WA, the value it took, and the element in the company's own XBRL it was read from — so any of it can be checked against the filing rather than taken on trust. As at 2022-12-31.

The figures, and where each came from

This is the part no other screener shows. Each figure below names the XBRL element it was read from, so it can be checked against the filing itself.

FigureValueXBRL tagAs at
cash 446,539,000 CashAndCashEquivalents 2023-01-01
current assets 2,167,349,000 CurrentAssetsOtherThanAssetsOrDisposalGroupsClassifiedAsHeldForSaleOrAsHeldForDistributionToOwners 2023-01-01
current liabilities 1,005,455,000 CurrentLiabilitiesOtherThanLiabilitiesIncludedInDisposalGroupsClassifiedAsHeldForSale 2023-01-01
equity 1,434,570,000 EquityAttributableToOwnersOfParent 2023-01-01
interest expense 26,210,000 FinanceCosts 2022-12-31
ocf 169,973,000 CashFlowsFromUsedInOperatingActivities 2022-12-31
revenue 1,067,919,000 Revenue 2022-12-31

The ratios

The figures themselves rather than their scores — what somebody looking up DVL.WA on one particular measure came for.

RatioValue
cash operating margin27.29
current ratio2.16
current ratio reported2.16
ebit cagr18.77
ebit yoy31.64
ev ebit16.01
ev owner earnings27.26
ev sales4.34
fcf margin15.92
growth cv2.45
interest cover11.04
operating margin27.1
owner earnings margin15.92
revenue growth17.1
revenue growth per share17.1
roic16.58
rule of 4044.2
sbc pct revenue0.0

Everything else this filing tags

122 more elements from DVL.WA's own XBRL that this model has no measure for, newest reading each, largest first. Nothing here is converted, added up or renamed — it is the filing's own element names and the filing's own numbers.

ElementNewestAs of PeriodsUnit
Assets2,948,932,0002023-01-01 4PLN
EquityAndLiabilities2,948,932,0002023-01-01 4PLN
Inventories1,657,216,0002023-01-01 4PLN
Equity1,434,923,0002023-01-01 5PLN
RevenueFromSaleOfGoods1,013,568,0002022-12-31 4PLN
SharePremiumOtherCapitalAndRetainedEarningsForPreviousPeriods755,180,0002023-01-01 4PLN
CostOfSales706,894,0002022-12-31 4PLN
AccrualsAndDeferredIncomeClassifiedAsCurrent578,100,0002022-01-01 3PLN
TotalOutflowsOfCashFromFinancingActivities550,613,0002022-12-31 4PLN
CurrentAccrualsAndCurrentDeferredIncomeIncludingCurrentContractLiabilities539,083,0002023-01-01 2PLN
NoncurrentAssetsOrDisposalGroupsClassifiedAsHeldForSale534,898,0002023-01-01 4PLN
CashFlowsFromUsedInFinancingActivities-519,181,0002022-12-31 4PLN
InflowsOfCashFromInvestingActivities481,308,0002022-12-31 4PLN
NoncurrentLiabilities480,656,0002023-01-01 4PLN
IssuedCapital447,558,0002023-01-01 4PLN
ProceedsFromSalesOfInvestmentProperty392,164,0002022-12-31 4PLN
LongtermBorrowings390,636,0002023-01-01 4PLN
CashFlowsFromUsedInInvestingActivities368,573,0002022-12-31 4PLN
GrossProfit361,025,0002022-12-31 4PLN
ProfitLossFromOperatingActivities289,361,0002022-12-31 4PLN
ProfitLossBeforeTax273,241,0002022-12-31 4PLN
NoncurrentAssets246,685,0002023-01-01 4PLN
ComprehensiveIncomeAttributableToOwnersOfParent232,800,0002022-12-31 4PLN
ComprehensiveIncome232,799,0002022-12-31 4PLN
ProfitLossAttributableToOwnersOfParent231,832,0002022-12-31 4PLN
RetainedEarningsProfitLossForReportingPeriod231,832,0002023-01-01 2PLN
ProfitLoss231,831,0002022-12-31 4PLN
RepaymentsOfLoansClassifiedAsFinancingActivities222,284,0002022-12-31 4PLN
GainsOrLossesOnInvestmentProperties-213,478,0002020-12-31 2PLN
DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities201,401,0002022-12-31 4PLN
DividendsRecognisedAsDistributionsToOwnersOfParentRelatingToPriorYears201,401,0002022-12-31 4PLN
TradeAndOtherCurrentPayables194,668,0002023-01-01 4PLN
CurrentBorrowingsAndCurrentPortionOfNoncurrentBorrowings192,604,0002023-01-01 4PLN
CashFlowsFromUsedInOperations188,701,0002022-12-31 4PLN
NetProfitLossForCurrentPeriod153,946,0002022-01-01 2PLN
NetProfitOrLossForCurrentPeriod-138,800,0002021-01-01 2PLN
InvestmentProperty129,791,0002023-01-01 4PLN
OutflowsOfCashFromInvestingActivities112,735,0002022-12-31 4PLN
OtherCurrentFinancialAssets94,420,0002023-01-01 4PLN
OtherCashReceiptsFromSalesOfEquityOrDebtInstrumentsOfOtherEntitiesClassifiedAsInvestingActivities89,144,0002022-12-31 4PLN
RepaymentsOfBondsNotesAndDebentures88,496,0002022-12-31 4PLN
AdjustmentsForDecreaseIncreaseInInventories-87,584,0002022-12-31 4PLN
AdjustmentsForReconcileProfitLoss-84,540,0002022-12-31 4PLN
InvestmentsInJointVenturesAccountedForUsingEquityMethod83,688,0002023-01-01 3PLN
DeferredTaxLiabilities70,540,0002023-01-01 4PLN
AdjustmentsForDecreaseIncreaseInTradeAndOtherReceivables68,801,0002022-12-31 4PLN
CurrentLeaseLiabilities63,902,0002023-01-01 4PLN
RevenueFromRenderingOfServices54,351,0002022-12-31 4PLN
OtherCashPaymentsToAcquireEquityOrDebtInstrumentsOfOtherEntitiesClassifiedAsInvestingActivities53,728,0002022-12-31 4PLN
AdjustmentsForIncreaseDecreaseInTradeAndOtherPayables-51,161,0002022-12-31 4PLN
AdministrativeExpense50,672,0002022-12-31 4PLN
AdjustmentsForInterestExpenseInterestIncomeAndDividendIncome43,529,0002022-12-31 4PLN
AdjustmentsForIncreaseDecreaseInAccrualsAndDeferredIncomeAndPrepaymentsAndAccruedIncome-42,872,0002022-12-31 4PLN
IncomeTaxExpenseContinuingOperations41,410,0002022-12-31 4PLN
CashFlowsUsedInObtainingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities40,400,0002019-12-31 1PLN
InterestPaidClassifiedAsFinancingActivities38,070,0002022-12-31 4PLN
CurrentFinancialAssetsAtAmortisedCost35,049,0002023-01-01 4PLN
TotalInflowsOfCashFromFinancingActivities31,432,0002022-12-31 4PLN
PurchaseOfInterestsInInvestmentsAccountedForUsingEquityMethod29,608,0002022-12-31 3PLN
LiabilitiesIncludedInDisposalGroupsClassifiedAsHeldForSale27,898,0002023-01-01 4PLN
OtherAdjustmentsToReconcileProfitLoss-27,065,0002022-12-31 4PLN
PurchaseOfInvestmentProperty25,957,0002022-12-31 4PLN
SellingExpense23,475,0002022-12-31 4PLN
TradeAndOtherCurrentReceivables21,387,0002023-01-01 4PLN
IncreaseDecreaseInCashAndCashEquivalents19,365,0002022-12-31 4PLN
IncreaseDecreaseInCashAndCashEquivalentsBeforeEffectOfExchangeRateChanges19,365,0002022-12-31 4PLN
IncomeTaxesPaidRefundClassifiedAsOperatingActivities18,728,0002022-12-31 4PLN
ProceedsFromLoansClassifiedAsFinancingActivities15,990,0002022-12-31 4PLN
ProceedsFromIssueOfBondsNotesAndDebentures15,442,0002022-12-31 4PLN
DeferredTaxAssets15,106,0002023-01-01 4PLN
NoncurrentProvisions14,592,0002023-01-01 4PLN
OtherIncome12,061,0002022-12-31 4PLN
GainsLossesOnCashFlowHedgesBeforeTax11,399,0002020-12-31 2PLN
FinanceIncome11,191,0002022-12-31 4PLN
AdjustmentsForForeignExchangeLossesGains9,910,0002022-12-31 4PLN
OtherNoncurrentFinancialAssets9,674,0002023-01-01 3PLN
CurrentProvisions9,579,0002023-01-01 4PLN
OtherComprehensiveIncome9,233,0002020-12-31 2PLN
OtherNoncurrentReceivables9,013,0002021-01-01 2PLN
OtherExpenseByFunction8,409,0002022-12-31 4PLN
PropertyPlantAndEquipment5,959,0002023-01-01 4PLN
CurrentPrepaymentsAndCurrentAccruedIncome5,756,0002022-01-01 3PLN
CurrentTaxLiabilitiesCurrent5,619,0002023-01-01 4PLN
AdjustmentsForProvisions-5,262,0002022-12-31 4PLN
NoncurrentLeaseLiabilities4,888,0002023-01-01 4PLN
AccrualsAndDeferredIncomeClassifiedAsNoncurrent4,856,0002022-01-01 2PLN
AdjustmentsForGainsLossesOnInvestmentProperty4,037,0002022-12-31 4PLN
CurrentPrepaidExpenses3,924,0002023-01-01 2PLN
PurchaseOfPropertyPlantAndEquipmentAndIntangibleAssetsClassifiedAsInvestingActivities3,442,0002022-12-31 4PLN
IncreaseDecreaseThroughAcquisitionOfSubsidiary3,116,0002022-12-31 1PLN
CurrentTaxAssetsCurrent2,464,0002023-01-01 4PLN
AdjustmentsForDepreciationAndAmortisationExpense2,026,0002022-12-31 4PLN
NoncurrentPrepaymentsAndNoncurrentAccruedIncomeOtherThanNoncurrentContractAssets1,340,0002023-01-01 2PLN
GainsLossesOnInvestmentProperties-1,169,0002022-12-31 3PLN
IntangibleAssetsOtherThanGoodwill1,127,0002023-01-01 4PLN
ShareOfProfitLossOfJointVenturesAccountedForUsingEquityMethod-1,101,0002022-12-31 3PLN
AdjustmentsForUndistributedProfitsOfInvestmentsAccountedForUsingEquityMethod-1,101,0002022-12-31 3PLN
OtherComprehensiveIncomeBeforeTaxCashFlowHedges1,100,0002022-12-31 3PLN
OtherComprehensiveIncomeThatWillBeReclassifiedToProfitOrLossNetOfTax968,0002022-12-31 4PLN
CurrentDerivativeFinancialAssets770,0002023-01-01 4PLN
NoncurrentPrepaymentsAndNoncurrentAccruedIncome509,0002022-01-01 3PLN
PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities362,0002022-12-31 4PLN
NoncontrollingInterests353,0002023-01-01 4PLN
IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome132,0002022-12-31 4PLN
RestrictedCashAndCashEquivalents20,0002021-01-01 2PLN
CurrentRestrictedCashAndCashEquivalents20,0002023-01-01 3PLN
ProfitLossAttributableToNoncontrollingInterests-1,0002022-12-31 4PLN
ComprehensiveIncomeAttributableToNoncontrollingInterests-1,0002022-12-31 4PLN
DilutedEarningsLossPerShare12022-12-31 4PLN/shares
BasicEarningsLossPerShare12022-12-31 4shares
DividendsRecognisedAsDistributionsToOwnersPerShare02021-12-31 1PLN/shares
LandsForInvestmentsClassifiedAsNoncurrentAssets02021-01-01 2PLN
NoncurrentDerivativeFinancialLiabilities02023-01-01 4PLN
CurrentDerivativeFinancialLiabilities02023-01-01 4PLN
GainsLossesOnDisposalsOfPropertyPlantAndEquipment02022-12-31 4PLN
WritedownsReversalsOfInventories02022-12-31 4PLN
AdjustmentsForGainLossOnDisposalsPropertyPlantAndEquipment02020-12-31 2PLN
ProceedsFromSalesOfPropertyPlantAndEquipmentAndIntangibleAssetsClassifiedAsInvestingActivities02020-12-31 2PLN
IncreaseDecreaseThroughAppropriationOfRetainedEarnings02022-12-31 4PLN
ProceedsFromSalesOfInvestmentsAccountedForUsingEquityMethod02022-12-31 3PLN
IncreaseDecreaseThroughSharebasedPaymentTransactions02022-12-31 2PLN
NoncurrentDeferredIncomeIncludingNoncurrentContractLiabilities02023-01-01 2PLN

What to be careful about

What this model itself distrusts about DVL.WA's figures. Written by the derivation as it ran, not added afterwards.