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Grupo Rotoplas S.A.B. de C.V.

Grupo Rotoplas S.A.B. de C.V., together with its subsidiaries, manufactures, purchases, sells, and installs plastic containers and accessories for storage, conduction, and improvement solutions in Mexico, Argentina, the United States, and internationally. It operates through Individual Solutions and Comprehensive Solutions segments. The company offers storage solutions, water tanks, cisterns, rural rainwater harvesting, urban rainwater harvesting, rotoplas fittings, accessories, water conditioning device, tampons, rainwater harvesting system, and tank accessories. It provides agro-industry solutions, such as storage tank, inductor tanks, horizontal leg tank, feeders and troughs, closed vertical tank, indoor and outdoor water tanks, horizontal and fire-proof water tanks, banjo fittings, double-layer tank, and wet nurses. The company also offers waterflow solutions, including hydraulic tuboplus pipe, tuboplus high pressure, rotoplas pumps, valves, tuboplus ultraflex, threaded hydraulic line, hydraulic pipes, connections, tools and hydraulic installation used in single-family, social interest and residential housing, buildings, industries, boats, and others; and treatment solutions, such as biodigester, family-orchard-type agricultural irrigation system, self-cleaning biodigester, outdoor toilet with biodigester, and septic tank; as well as heating products, that includes ecoshower electric showerhead and heaters, and solutions for water heating, energy, and gas savings. Further, it provides wastewater treatment, filtration, purification, desalination, processed water, water ingredient, and integrated water solutions. Additionally, the company engages in manufacture and sale of plastic tanks for water storage; real estate services; sewage treatment; water solutions for the agricultural sector; and operates electronic marketing platform, as well as provides financial support. Grupo Rotoplas S.A.B. de C.V. was founded in 1978 and is headquartered in Mexico City, Mexico.

Market Cap

MXN 6.7B

Volume

148.0K

Cash and Equivalents

MXN 1.2B

EBITDA

MXN 1.2B

Tax Rate Collected

N/A

Tax Rate Ratio

N/A

Gross Profit

MXN 4.4B

Profit Margin

40.79%

52 Week High

MXN 14.35

52 Week Low

MXN 10.00

Dividend

1.79%

Price / Book Value

1.24

Price / Earnings

-49.76

Price / Tangible Book Value

3.56

Enterprise Value

MXN 10.5B

Enterprise Value / EBITDA

8.07

Operating Income

MXN 700.8M

Return on Equity

2.42%

Return on Assets

3.17

Cash and Short Term Investments

MXN 1.2B

Debt

MXN 5.1B

Equity

MXN 5.4B

Revenue

MXN 10.8B

Unlevered FCF

MXN 1.7B

Sector

Building Products

Category

N/A

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