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
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 |
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