9.42€
0.00€ (0.00%)
End-of-day quote: 05/01/2024
BIT:CPR

Davide Campari-Milano N.V. 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
2.70€B 2.17€B 1.77€B 1.84€B 1.71€B 1.75€B 1.73€B 1.66€B 1.56€B 1.52€B 1.34€B 1.27€B 1.16€B 1.01€B 942.33€M 957.51€M 932.36€M 809.94€M 751.13€M
GM % Gross Margin %
58.89% 59.69% 57.90% 60.85% 60.06% 57.73% 57.03% 55.35% 53.31% 53.17% 57.39% 57.65% 57.33% 56.80% 54.56% 53.91% 56.00% 57.40% 57.85%
OM Operating Margin
20.75% 19.47% 17.12% 21.85% 24.53% 23.96% 20.30% 20.35% 19.08% 19.81% 23.08% 23.54% 23.47% 23.76% 21.77% 21.34% 21.26% 22.04% 21.82%
EPS Earnings Per Share
0.00€ 0.34€ 0.34€ 0.27€ 0.18€ 0.23€ 0.22€ 0.20€ 0.17€ 0.16€ 0.13€ 0.13€ 0.14€ 0.14€ 0.14€ 0.13€ 0.12€ 0.11€ 0.10€ 0.10€ 0.06€
Div. Dividends
0.06€ 0.06€ 0.06€ 0.06€ 0.05€ 0.05€ 0.05€ 0.05€ 0.04€ 0.04€ 0.04€ 0.04€ 0.03€ 0.02€ 0.03€ 0.03€ 0.03€ 0.03€ 0.03€
PR % Payout Ratio %
17.65% 22.22% 33.33% 26.09% 22.73% 25.00% 29.41% 31.25% 30.77% 30.77% 28.57% 28.57% 21.43% 15.38% 25.00% 27.27% 30.00% 30.00% 50.00%
Sha. Shares
1121.65m 1132.49m 1119.41m 1147.9m 1146.62m 1152.55m 1158.92m 1158.16m 1153.84m 1151.37m 1152.6m 1154.91m 1157.05m 1151.78m 1153.84m 1157.42m 1156.2m 1125.42m 1124.19m
OCF Operating Cash Flow
380.40€M 483.70€M 272.20€M 363.00€M 327.50€M 311.20€M 395.40€M 305.20€M 283.30€M 220.60€M 224.30€M 202.50€M 230.60€M 271.40€M 171.51€M 169.88€M 127.80€M 97.12€M 114.87€M
FCF Free Cash Flow
188.70€M 332.30€M 192.40€M 258.50€M 256.60€M 227.00€M 243.20€M 250.80€M 177.90€M 105.90€M 128.20€M 136.00€M 132.00€M 216.60€M 123.40€M 136.26€M 109.00€M 82.12€M 84.66€M
FCFS Free Cash Flow Per Share
0.02€ 0.30€ 0.17€ 0.24€ 0.21€ 0.19€ 0.29€ 0.22€ 0.19€ 0.12€ 0.15€ 0.14€ 0.13€ 0.18€ 0.10€ 0.09€ -0.03€ 0.07€ 0.08€