11.92€
+ 0.02€ (0.17%)
End-of-day quote: 05/02/2024
BIT:BRE

Brembo S.p.A. Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
3.66€B 2.81€B 2.24€B 2.63€B 2.68€B 2.49€B 2.31€B 2.09€B 1.82€B 1.58€B 1.40€B 1.27€B 1.09€B 844.35€M 1.08€B 929.32€M 824.85€M 729.07€M 688.35€M
GM % Gross Margin %
45.16% 47.55% 47.99% 48.06% 47.37% 47.95% 46.77% 45.31% 44.50% 44.38% 44.01% 44.56% 45.08% 46.51% 50.84% 51.59% 51.89% 53.76% 53.17%
OM Operating Margin
10.00% 9.69% 7.69% 11.57% 12.24% 13.28% 13.65% 11.68% 9.57% 7.57% 6.28% 5.99% 5.38% 2.78% 6.69% 9.17% 9.33% 9.78% 9.75%
EPS Earnings Per Share
0.00€ 0.90€ 0.90€ 0.67€ 0.42€ 0.73€ 0.73€ 0.81€ 0.74€ 0.57€ 0.40€ 0.27€ 0.24€ 0.13€ 0.10€ 0.01€ 0.12€ 0.15€ 0.13€ 0.12€ 0.10€
Div. Dividends
0.30€ 0.27€ 0.22€ 0.22€ 0.22€ 0.22€ 0.20€ 0.16€ 0.12€ 0.10€ 0.08€ 0.06€ 0.05€ 0.05€ 0.05€ 0.06€ 0.05€ 0.04€ 0.04€
PR % Payout Ratio %
33.33% 40.30% 52.38% 30.14% 30.14% 27.16% 27.03% 28.07% 30.00% 37.04% 33.33% 46.15% 50.00% 500.00% 41.67% 40.00% 38.46% 33.33% 40.00%
Sha. Shares
323.89m 323.89m 323.89m 323.89m 325.19m 325.19m 325.19m 325.19m 325.19m 325.19m 325.19m 325.19m 326.72m 326.72m 326.72m 332.02m 333.92m 333.92m 333.92m
OCF Operating Cash Flow
341.51€M 413.81€M 333.40€M 306.62€M 447.59€M 383.78€M 360.86€M 312.28€M 212.09€M 168.66€M 145.41€M 120.88€M 98.91€M 137.48€M 56.34€M 88.42€M 85.06€M 55.89€M 70.77€M
FCF Free Cash Flow
-20.03€M 171.80€M 171.35€M 92.96€M 197.20€M 57.12€M 129.50€M 156.40€M 85.30€M 33.80€M 23.90€M -44.40€M 29.69€M 103.86€M -12.94€M 26.45€M 15.33€M -26.14€M -5.12€M
FCFS Free Cash Flow Per Share
0.18€ 0.53€ 0.44€ 0.17€ 0.49€ 0.07€ 0.30€ 0.48€ 0.26€ 0.11€ 0.01€ -0.14€ 0.09€ 0.28€ -0.11€ 0.02€ 0.00€ -0.12€ -0.04€