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SFL.MI stock logo

SFL.MI

Safilo Group S.p.A.

$1.71
-0.01
 (-0.53%)
Exchange:  MIL
Market Cap:  669.181M
Shares Outstanding:  298.364M
Overview
Earnings
Financials
Valuation
Chart

About The Company

Sector:  Healthcare
Industry:  Medical – Instruments & Supplies
   
CEO:  Angelo Trocchia
Full Time Employees:  3352
Address: 
Settima Strada 15
Padua
PD
35129
IT
Website:  https://www.safilogroup.com
Safilo Group S.p.A. engages in the design, production, wholesale, and retail distribution of products for the eyewear market in North America, Europe, the Asia Pacific, and internationally. Its brand portfolio comprises a set of own branded products, such as optical frames, sunglasses, sports goggles, and helmets, as well as licensed brands,including prescription frames and sunglasses. The company offers its products under own brands comprising Carrera, Polaroid, Safilo, Smith, Blenders Eyewear, and Privé Revaux, as well as Adensco, Chesterfield, Elasta, and Emozioni; and licensed brands, such as Banana Republic, BOSS, Carolina Herrera, Chiara Ferragni, David Beckham, Dsquared2, Fossil, havaianas, HUGO, Isabel Marant, Jimmy Choo, Juicy Couture, Kate Spade, LEVI’S, Liz Claiborne, Marc Jacobs, Missoni, M Missoni, Moschino and Love Moschino, Pierre Cardin, PORTS, rag&bone, Rebecca Minkof, Tommy Hilfiger, Tommy Jeans, Under Armour, and Liz Claiborne brand. It serves opticians, optometrists, ophthalmologists, distribution chains, department stores, specialized retailers, and licensors’ own stores, as well as duty free and sports shops. The company sells its products through a network of independent distributor partners. The company was formerly known as Safilo Holding S.p.A. and changed its name to Safilo Group S.p.A. in September 2005. Safilo Group S.p.A. was founded in 1878 and is headquartered in Padua, Italy.

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Revenue Segmentation

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EPS

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Earnings Call

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Income Statement
Balance Sheet
Cash Flow Statement
Analyst Estimates

Income Statement

Year202320242025
Revenue1,024,732993,219983,379
Gross Profit601,735561,733599,286
EBITDA56,35290,48764,188
Operating Income7,66148,22964,188
Net Income-24,64922,29649,072

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(* All numbers are in thousands)

Balance Sheet

Year202320242025
Total Assets855,462842,339758,951
Total Liabilities459,676414,878355,904
Total Stockholders Equity379,200413,070392,454
Total Debt157,597140,53898,270
Cash and Cash Equivalents74,89847,42152,145

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Cash Flow Statement

Year202320242025
Operating Cash Flow47,71276,21789,680
Capital Expenditure-13,213-11,570-8,404
Free Cash Flow34,49964,64781,276
Net Income-24,64922,29649,072
Net Change in Cash-2,812-27,4774,724

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(* All numbers are in thousands)

Analyst Estimates

Fiscal Year2030Full AccessFull AccessFull AccessFull Access
Estimated Revenue (Low)1,069,127.874Full AccessFull AccessFull AccessFull Access
Estimated Revenue (High)1,100,475.249Full AccessFull AccessFull AccessFull Access
Estimated Revenue (Avg)1,087,600Full AccessFull AccessFull AccessFull Access
Estimated Ebitda (Low)94,953.656Full AccessFull AccessFull AccessFull Access
Estimated Ebitda (High)97,737.746Full AccessFull AccessFull AccessFull Access
Estimated Ebitda (Avg)96,594.242Full AccessFull AccessFull AccessFull Access
Estimated Net Income (Low)0Full AccessFull AccessFull AccessFull Access
Estimated Net Income (High)0Full AccessFull AccessFull AccessFull Access
Estimated Net Income (Avg)0Full AccessFull AccessFull AccessFull Access
Estimated SGA Expense (Low)473,502.298Full AccessFull AccessFull AccessFull Access
Estimated SGA Expense (High)487,385.627Full AccessFull AccessFull AccessFull Access
Estimated SGA Expense (Avg)481,683.353Full AccessFull AccessFull AccessFull Access
Estimated EPS (Avg)0Full AccessFull AccessFull AccessFull Access
Estimated EPS (High)0Full AccessFull AccessFull AccessFull Access
Estimated EPS (Low)0Full AccessFull AccessFull AccessFull Access
Number of Analysts (Estimated Revenue)3Full AccessFull AccessFull AccessFull Access
Number of Analysts (Estimated EPS)2Full AccessFull AccessFull AccessFull Access

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(* All numbers are in thousands)

Current Key Metrics

?Revenue
 (TTM)
: 
  ?P/S
 (TTM)
: 
0.72
?Net Income
 (TTM)
: 
  ?P/E
 (TTM)
: 
16.57
?Enterprise Value
 (TTM)
: 
752.592M  ?EV/FCF
 (TTM)
: 
9.26
?Dividend Yield
 (TTM)
: 
0  ?Payout Ratio
 (TTM)
: 
0.01
?ROE
 (TTM)
: 
0.12  ?ROIC
 (TTM)
: 
0.07
?Net Debt
 (TTM)
: 
  ?Debt/Equity
 (TTM)
: 
0.25
?P/B
 (TTM)
: 
2.07  ?Current Ratio
 (TTM)
: 
1.71

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Forward P/E Ratios

?

Forward P/E (Avg EPS estimate) — log in with Full Access for high/low estimates and the interactive table.

Forward P/E 1YFull AccessFull AccessFull AccessFull Access
13.41Full AccessFull AccessFull AccessFull Access

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SWOT Analysis

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Intrinsic Value Calculator

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Calculate SFL Intrinsic Value

Common questions about SFL.MI valuation

Is Safilo Group S.p.A. (SFL.MI) overvalued or undervalued right now?

MARKETSnap estimates intrinsic value for Safilo Group S.p.A. (SFL.MI) using its proprietary valuation methodology, which incorporates discounted cash flow (DCF) analysis together with long-term earnings and fundamentals assumptions. By comparing intrinsic value to the current market price, long-term investors can see whether the stock screens as potentially overvalued, fairly valued, or undervalued today.

Is SFL.MI a buy, hold, or sell for long-term investors?

MARKETSnap does not give one-word “buy” or “sell” calls. Instead, it shows whether SFL.MI trades at a premium or discount to its estimated intrinsic value, how sensitive that value is to growth and margin assumptions, and how the stock fits into a diversified, long-term portfolio so investors can make their own buy, hold, or sell decision.

What is SFL.MI’s P/E ratio?

You can see SFL.MI’s trailing P/E (TTM) and forward P/E estimates in the Current Key Metrics and Forward P/E Ratios sections above. The P/E ratio compares the current share price to earnings per share and helps investors gauge valuation relative to earnings.

How is intrinsic value calculated for SFL.MI?

MARKETSnap uses its own valuation framework—not a generic spreadsheet DCF alone. Future cash flows and earnings are projected, discounted, and combined with MARKETSnap’s methodology so intrinsic value reflects fundamentals and long-term assumptions. You can run your own inputs and see the result using the Intrinsic Value Calculator above.

Is SFL.MI a good long-term investment?

Whether SFL.MI fits a long-term portfolio depends on your assumptions about growth, margins, and risk. MARKETSnap provides the metrics, intrinsic value calculator, and SWOT context so you can form your own view rather than rely on a single buy/sell rating.

SFL.MI

1-day price chart preview. Log in for 1W through 5Y ranges and period tabs.

Daily snapshot

-0.53
MARKETSnap

Trading Metrics:

Open: 1.71   Previous Close: 1.71
Day Low: 1.7   Day High: 1.72
Year Low: 0.71   Year High: 2.2
Price Avg 50: 1.77   Price Avg 200: 1.72
Volume: 85645   Average Volume: 953779

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