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Investor Alert

Aena SME S.A. ADR

OTC: ANYYY

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Market closed

 --Quotes are delayed by 20 min

May 20, 2022, 3:58 p.m.

/zigman2/quotes/202587407/composite

$

14.20

Change

+0.06 +0.41%

Volume

Volume 88,457

Quotes are delayed by 20 min

/zigman2/quotes/202587407/composite

Previous close

$ 14.14

$ 14.20

Change

+0.06 +0.41%

Day low

Day high

$14.08

$14.36

Open

52 week low

52 week high

$13.44

$17.84

Open

Company Description

Aena S.M.E. SA engages in the management and operation of airport terminals. It operates through the following business segments: Airports, Real Estate services and International. The Airports segment provides airport services such as cargo handling, air transportation and passenger security. The Re...

Aena S.M.E. SA engages in the management and operation of airport terminals. It operates through the following business segments: Airports, Real Estate services and International. The Airports segment provides airport services such as cargo handling, air transportation and passenger security. The Real Estate segment includes industrial and real estate assets that are not included in terminals. The International segment deals with the international development business. The company was founded on June 19, 1991 and is headquartered in Madrid, Spain.

Valuation

Price to Sales Ratio

8.98

Price to Book Ratio

3.41

Price to Cash Flow Ratio

72.83

Enterprise Value to EBITDA

33.74

Enterprise Value to Sales

10.42

Total Debt to Enterprise Value

0.31

Efficiency

Revenue/Employee

263,165.00

Income Per Employee

-6,814.00

Receivables Turnover

2.45

Total Asset Turnover

0.14

Liquidity

Current Ratio

1.02

Quick Ratio

1.02

Cash Ratio

0.59

Profitability

Gross Margin

29.42

Operating Margin

1.11

Pretax Margin

-8.25

Net Margin

-2.59

Return on Assets

-0.38

Return on Equity

-0.98

Return on Total Capital

0.18

Return on Invested Capital

-0.46

Capital Structure

Total Debt to Total Equity

142.53

Total Debt to Total Capital

58.77

Total Debt to Total Assets

53.26

Long-Term Debt to Equity

115.44

Long-Term Debt to Total Capital

47.60

Officers and Executives

Name Age Officer Since Title
Mr. Maurici Lucena Betriu - 2018 Chairman & Chief Executive Officer
Mr. José Leo Vizcaíno - 2015 Chief Financial Officer
Mr. María José Cuenda Chamorro - - MD-Commercial & International Development
Ms. María Ángeles Rubio Alfayate 46 2020 Director-Aena Internacional
Mr. Raul Míguez Bailo - 2021 Director

Insider Actions

– Purchase – Sale 1 – Number of Transactions
Date Name Shares Transaction Value
06/24/2021 TCI Fund Management Ltd.
554   Disposition at $145.67 per share. 80,701
06/24/2021 TCI Fund Management Ltd.
176   Disposition at $145.94 per share. 25,685
06/24/2021 TCI Fund Management Ltd.
13,084   Disposition at $146.58 per share. 1,917,852
06/24/2021 TCI Fund Management Ltd.
554   Disposition at $145.67 per share. 80,701
06/24/2021 TCI Fund Management Ltd.
176   Disposition at $145.94 per share. 25,685
06/24/2021 TCI Fund Management Ltd.
13,084   Disposition at $146.58 per share. 1,917,852
06/23/2021 TCI Fund Management Ltd.
9,131   Disposition at $142.86 per share. 1,304,454
06/23/2021 TCI Fund Management Ltd.
418   Disposition at $143.13 per share. 59,828
06/23/2021 TCI Fund Management Ltd.
1,235   Disposition at $143.58 per share. 177,321
06/23/2021 TCI Fund Management Ltd.
2,274   Disposition at $143.24 per share. 325,727
06/23/2021 TCI Fund Management Ltd.
478   Disposition at $143.92 per share. 68,793
06/23/2021 TCI Fund Management Ltd.
470   Disposition at $143.29 per share. 67,346
06/23/2021 TCI Fund Management Ltd.
9,131   Disposition at $142.86 per share. 1,304,454
06/23/2021 TCI Fund Management Ltd.
418   Disposition at $143.13 per share. 59,828
06/23/2021 TCI Fund Management Ltd.
1,235   Disposition at $143.58 per share. 177,321
06/23/2021 TCI Fund Management Ltd.
2,274   Disposition at $143.24 per share. 325,727
06/23/2021 TCI Fund Management Ltd.
478   Disposition at $143.92 per share. 68,793
06/23/2021 TCI Fund Management Ltd.
470   Disposition at $143.29 per share. 67,346
06/22/2021 TCI Fund Management Ltd.
101   Disposition at $145 per share. 14,645
06/22/2021 TCI Fund Management Ltd.
11,206   Disposition at $143 per share. 1,602,458
06/22/2021 TCI Fund Management Ltd.
1,166   Disposition at $144 per share. 167,904
06/22/2021 TCI Fund Management Ltd.
3,244   Disposition at $145 per share. 470,380
06/22/2021 TCI Fund Management Ltd.
4,290   Disposition at $144 per share. 617,760
06/22/2021 TCI Fund Management Ltd.
785   Disposition at $145 per share. 113,825
06/22/2021 TCI Fund Management Ltd.
200   Disposition at $145 per share. 29,000
06/22/2021 TCI Fund Management Ltd.
1,370   Disposition at $144 per share. 197,280
06/22/2021 TCI Fund Management Ltd.
747   Disposition at $145 per share. 108,315
06/22/2021 TCI Fund Management Ltd.
101   Disposition at $145 per share. 14,645
06/22/2021 TCI Fund Management Ltd.
11,206   Disposition at $143 per share. 1,602,458
06/22/2021 TCI Fund Management Ltd.
1,166   Disposition at $144 per share. 167,904
06/22/2021 TCI Fund Management Ltd.
3,244   Disposition at $145 per share. 470,380
06/22/2021 TCI Fund Management Ltd.
4,290   Disposition at $144 per share. 617,760
06/22/2021 TCI Fund Management Ltd.
785   Disposition at $145 per share. 113,825
06/22/2021 TCI Fund Management Ltd.
200   Disposition at $145 per share. 29,000
06/22/2021 TCI Fund Management Ltd.
1,370   Disposition at $144 per share. 197,280
06/22/2021 TCI Fund Management Ltd.
747   Disposition at $145 per share. 108,315
06/21/2021 TCI Fund Management Ltd.
2,032   Disposition at $142.35 per share. 289,255
06/21/2021 TCI Fund Management Ltd.
516   Disposition at $142.12 per share. 73,333
06/21/2021 TCI Fund Management Ltd.
2,999   Disposition at $142.24 per share. 426,577
06/21/2021 TCI Fund Management Ltd.
1,073   Disposition at $142.55 per share. 152,956
06/21/2021 TCI Fund Management Ltd.
99   Disposition at $142.9 per share. 14,147
06/21/2021 TCI Fund Management Ltd.
476   Disposition at $142.3 per share. 67,734
06/21/2021 TCI Fund Management Ltd.
4,027   Disposition at $141.94 per share. 571,592
06/21/2021 TCI Fund Management Ltd.
1,240   Disposition at $142.33 per share. 176,489
06/21/2021 TCI Fund Management Ltd.
135   Disposition at $142.27 per share. 19,206
06/21/2021 TCI Fund Management Ltd.
1,132   Disposition at $142.47 per share. 161,276
06/21/2021 TCI Fund Management Ltd.
1,063   Disposition at $141.94 per share. 150,882
06/21/2021 TCI Fund Management Ltd.
588   Disposition at $142.32 per share. 83,684
06/21/2021 TCI Fund Management Ltd.
226   Disposition at $142.25 per share. 32,148
06/21/2021 TCI Fund Management Ltd.
11,932   Disposition at $142.46 per share. 1,699,832
06/21/2021 TCI Fund Management Ltd.
2,032   Disposition at $142.35 per share. 289,255
06/21/2021 TCI Fund Management Ltd.
516   Disposition at $142.12 per share. 73,333
06/21/2021 TCI Fund Management Ltd.
2,999   Disposition at $142.24 per share. 426,577
06/21/2021 TCI Fund Management Ltd.
1,073   Disposition at $142.55 per share. 152,956
06/21/2021 TCI Fund Management Ltd.
99   Disposition at $142.9 per share. 14,147
06/21/2021 TCI Fund Management Ltd.
476   Disposition at $142.3 per share. 67,734
06/21/2021 TCI Fund Management Ltd.
4,027   Disposition at $141.94 per share. 571,592
06/21/2021 TCI Fund Management Ltd.
1,240   Disposition at $142.33 per share. 176,489
06/21/2021 TCI Fund Management Ltd.
135   Disposition at $142.27 per share. 19,206
06/21/2021 TCI Fund Management Ltd.
1,132   Disposition at $142.47 per share. 161,276
06/21/2021 TCI Fund Management Ltd.
1,063   Disposition at $141.94 per share. 150,882
06/21/2021 TCI Fund Management Ltd.
588   Disposition at $142.32 per share. 83,684
06/21/2021 TCI Fund Management Ltd.
226   Disposition at $142.25 per share. 32,148
06/21/2021 TCI Fund Management Ltd.
11,932   Disposition at $142.46 per share. 1,699,832
06/18/2021 TCI Fund Management Ltd.
68   Disposition at $145.48 per share. 9,892
06/18/2021 TCI Fund Management Ltd.
18,849   Disposition at $142.77 per share. 2,691,071
06/18/2021 TCI Fund Management Ltd.
1,256   Disposition at $144.02 per share. 180,889
06/18/2021 TCI Fund Management Ltd.
1,192   Disposition at $145 per share. 172,840
06/18/2021 TCI Fund Management Ltd.
4,031   Disposition at $143.79 per share. 579,617
06/18/2021 TCI Fund Management Ltd.
1,211   Disposition at $145.05 per share. 175,655
06/18/2021 TCI Fund Management Ltd.
29   Disposition at $145.45 per share. 4,218
06/18/2021 TCI Fund Management Ltd.
864   Disposition at $144.22 per share. 124,606
06/18/2021 TCI Fund Management Ltd.
68   Disposition at $145.48 per share. 9,892
06/18/2021 TCI Fund Management Ltd.
18,849   Disposition at $142.77 per share. 2,691,071
06/18/2021 TCI Fund Management Ltd.
1,256   Disposition at $144.02 per share. 180,889
06/18/2021 TCI Fund Management Ltd.
1,192   Disposition at $145 per share. 172,840
06/18/2021 TCI Fund Management Ltd.
4,031   Disposition at $143.79 per share. 579,617
06/18/2021 TCI Fund Management Ltd.
1,211   Disposition at $145.05 per share. 175,655
06/18/2021 TCI Fund Management Ltd.
29   Disposition at $145.45 per share. 4,218
06/18/2021 TCI Fund Management Ltd.
864   Disposition at $144.22 per share. 124,606
06/17/2021 TCI Fund Management Ltd.
2,500   Acquisition at $147.25 per share. 368,125
06/17/2021 TCI Fund Management Ltd.
2,500   Acquisition at $147.25 per share. 368,125
06/17/2021 TCI Fund Management Ltd.
11,725   Disposition at $145.47 per share. 1,705,635
06/17/2021 TCI Fund Management Ltd.
1,514   Disposition at $145.68 per share. 220,559
06/17/2021 TCI Fund Management Ltd.
1,203   Disposition at $145.6 per share. 175,156
06/17/2021 TCI Fund Management Ltd.
3,805   Disposition at $145.43 per share. 553,361
06/17/2021 TCI Fund Management Ltd.
2,765   Disposition at $146.16 per share. 404,132
06/17/2021 TCI Fund Management Ltd.
32   Disposition at $145.2 per share. 4,646
06/17/2021 TCI Fund Management Ltd.
1,566   Disposition at $145.72 per share. 228,197
06/17/2021 TCI Fund Management Ltd.
11,725   Disposition at $145.47 per share. 1,705,635
06/17/2021 TCI Fund Management Ltd.
1,514   Disposition at $145.68 per share. 220,559
06/17/2021 TCI Fund Management Ltd.
1,203   Disposition at $145.6 per share. 175,156
06/17/2021 TCI Fund Management Ltd.
3,805   Disposition at $145.43 per share. 553,361
06/17/2021 TCI Fund Management Ltd.
2,765   Disposition at $146.16 per share. 404,132
06/17/2021 TCI Fund Management Ltd.
32   Disposition at $145.2 per share. 4,646
06/17/2021 TCI Fund Management Ltd.
1,566   Disposition at $145.72 per share. 228,197
06/16/2021 TCI Fund Management Ltd.
2,836   Disposition at $144.53 per share. 409,887
06/16/2021 TCI Fund Management Ltd.
1,681   Disposition at $143.63 per share. 241,442
06/16/2021 TCI Fund Management Ltd.
2,221   Disposition at $143.75 per share. 319,268
06/16/2021 TCI Fund Management Ltd.
657   Disposition at $144 per share. 94,608
06/16/2021 TCI Fund Management Ltd.
1,361   Disposition at $144.03 per share. 196,024
06/16/2021 TCI Fund Management Ltd.
434   Disposition at $144.34 per share. 62,643
06/16/2021 TCI Fund Management Ltd.
3,398   Disposition at $143.62 per share. 488,020
06/16/2021 TCI Fund Management Ltd.
1,515   Disposition at $143.13 per share. 216,841
06/16/2021 TCI Fund Management Ltd.
844   Disposition at $143.68 per share. 121,265
06/16/2021 TCI Fund Management Ltd.
376   Disposition at $144.19 per share. 54,215
06/16/2021 TCI Fund Management Ltd.
980   Disposition at $143.56 per share. 140,688
06/16/2021 TCI Fund Management Ltd.
8,746   Disposition at $143.4 per share. 1,254,176
06/16/2021 TCI Fund Management Ltd.
8,746   Disposition at $143.4 per share. 1,254,176
06/16/2021 TCI Fund Management Ltd.
2,836   Disposition at $144.53 per share. 409,887
06/16/2021 TCI Fund Management Ltd.
1,681   Disposition at $143.63 per share. 241,442
06/16/2021 TCI Fund Management Ltd.
2,221   Disposition at $143.75 per share. 319,268
06/16/2021 TCI Fund Management Ltd.
657   Disposition at $144 per share. 94,608
06/16/2021 TCI Fund Management Ltd.
1,361   Disposition at $144.03 per share. 196,024
06/16/2021 TCI Fund Management Ltd.
434   Disposition at $144.34 per share. 62,643
06/16/2021 TCI Fund Management Ltd.
3,398   Disposition at $143.62 per share. 488,020
06/16/2021 TCI Fund Management Ltd.
1,515   Disposition at $143.13 per share. 216,841
06/16/2021 TCI Fund Management Ltd.
844   Disposition at $143.68 per share. 121,265
06/16/2021 TCI Fund Management Ltd.
376   Disposition at $144.19 per share. 54,215
06/16/2021 TCI Fund Management Ltd.
980   Disposition at $143.56 per share. 140,688
06/15/2021 TCI Fund Management Ltd.
3,859   Disposition at $142.47 per share. 549,791
06/15/2021 TCI Fund Management Ltd.
2,731   Disposition at $142.55 per share. 389,304
06/15/2021 TCI Fund Management Ltd.
13,059   Disposition at $142.7 per share. 1,863,519
06/15/2021 TCI Fund Management Ltd.
107   Disposition at $144 per share. 15,408
06/15/2021 TCI Fund Management Ltd.
3,346   Disposition at $142 per share. 475,132
06/15/2021 TCI Fund Management Ltd.
2,878   Disposition at $142.5 per share. 410,115
06/15/2021 TCI Fund Management Ltd.
2,080   Disposition at $144.15 per share. 299,832
06/15/2021 TCI Fund Management Ltd.
317   Disposition at $144.26 per share. 45,730
06/15/2021 TCI Fund Management Ltd.
289   Disposition at $143.82 per share. 41,563
06/15/2021 TCI Fund Management Ltd.
3,859   Disposition at $142.47 per share. 549,791
06/15/2021 TCI Fund Management Ltd.
2,731   Disposition at $142.55 per share. 389,304
06/15/2021 TCI Fund Management Ltd.
13,059   Disposition at $142.7 per share. 1,863,519
06/15/2021 TCI Fund Management Ltd.
107   Disposition at $144 per share. 15,408
06/15/2021 TCI Fund Management Ltd.
3,346   Disposition at $142 per share. 475,132
06/15/2021 TCI Fund Management Ltd.
2,878   Disposition at $142.5 per share. 410,115
06/15/2021 TCI Fund Management Ltd.
2,080   Disposition at $144.15 per share. 299,832
06/15/2021 TCI Fund Management Ltd.
317   Disposition at $144.26 per share. 45,730
06/15/2021 TCI Fund Management Ltd.
289   Disposition at $143.82 per share. 41,563
06/14/2021 TCI Fund Management Ltd.
4,000   Disposition at $141.88 per share. 567,520
06/14/2021 TCI Fund Management Ltd.
10,454   Disposition at $142.89 per share. 1,493,772
06/14/2021 TCI Fund Management Ltd.
2,675   Disposition at $141.92 per share. 379,636
06/14/2021 TCI Fund Management Ltd.
3,257   Disposition at $142.1 per share. 462,819
06/14/2021 TCI Fund Management Ltd.
4,157   Disposition at $141.92 per share. 589,961
06/14/2021 TCI Fund Management Ltd.
3,753   Disposition at $141.55 per share. 531,237
06/14/2021 TCI Fund Management Ltd.
3,677   Disposition at $142.07 per share. 522,391
06/14/2021 TCI Fund Management Ltd.
5,775   Disposition at $142.19 per share. 821,147
06/14/2021 TCI Fund Management Ltd.
535   Disposition at $141.99 per share. 75,964
06/14/2021 TCI Fund Management Ltd.
629   Disposition at $142.08 per share. 89,368
06/14/2021 TCI Fund Management Ltd.
4,000   Disposition at $141.88 per share. 567,520
06/14/2021 TCI Fund Management Ltd.
10,454   Disposition at $142.89 per share. 1,493,772
06/14/2021 TCI Fund Management Ltd.
2,675   Disposition at $141.92 per share. 379,636
06/14/2021 TCI Fund Management Ltd.
3,257   Disposition at $142.1 per share. 462,819
06/14/2021 TCI Fund Management Ltd.
4,157   Disposition at $141.92 per share. 589,961
06/14/2021 TCI Fund Management Ltd.
3,753   Disposition at $141.55 per share. 531,237
06/14/2021 TCI Fund Management Ltd.
3,677   Disposition at $142.07 per share. 522,391
06/14/2021 TCI Fund Management Ltd.
5,775   Disposition at $142.19 per share. 821,147
06/14/2021 TCI Fund Management Ltd.
535   Disposition at $141.99 per share. 75,964
06/14/2021 TCI Fund Management Ltd.
629   Disposition at $142.08 per share. 89,368
06/11/2021 TCI Fund Management Ltd.
3,520   Disposition at $141 per share. 496,320
06/11/2021 TCI Fund Management Ltd.
984   Disposition at $141 per share. 138,744
06/11/2021 TCI Fund Management Ltd.
3,117   Disposition at $141 per share. 439,497
06/11/2021 TCI Fund Management Ltd.
1,750   Disposition at $141 per share. 246,750
06/11/2021 TCI Fund Management Ltd.
6,521   Disposition at $141 per share. 919,461
06/11/2021 TCI Fund Management Ltd.
595   Disposition at $143 per share. 85,085
06/11/2021 TCI Fund Management Ltd.
1,187   Disposition at $141 per share. 167,367
06/11/2021 TCI Fund Management Ltd.
3,520   Disposition at $141 per share. 496,320
06/11/2021 TCI Fund Management Ltd.
984   Disposition at $141 per share. 138,744
06/11/2021 TCI Fund Management Ltd.
3,117   Disposition at $141 per share. 439,497
06/11/2021 TCI Fund Management Ltd.
1,750   Disposition at $141 per share. 246,750
06/11/2021 TCI Fund Management Ltd.
6,521   Disposition at $141 per share. 919,461
06/11/2021 TCI Fund Management Ltd.
595   Disposition at $143 per share. 85,085
06/11/2021 TCI Fund Management Ltd.
1,187   Disposition at $141 per share. 167,367
/news/latest/company/us/anyyy

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At a Glance

Aena S.M.E. SA

Calle Arturo Soria, 109

Madrid, Madrid 28043

Phone

34 913211000

Industry

Transportation Services

Sector

Transportation/Logistics

Fiscal Year-end

12/2022

Revenue

$2.32B

Net Income

$-60.04M

2021 Sales Growth

6.3%

Employees

8,811

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