1.89€
-0.01€ (-0.53%)
End-of-day quote: 05/03/2024
BIT:IRE

Iren SpA 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
7.76€B 4.87€B 3.55€B 4.13€B 3.81€B 3.53€B 3.10€B 2.95€B 2.66€B 3.20€B 4.04€B 3.27€B 2.77€B 2.21€B 2.38€B 2.45€B 2.45€B 1.15€B 892.27€M
GM % Gross Margin %
19.88% 30.46% 35.86% 31.35% 31.34% 31.75% 35.25% 34.26% 27.85% 22.77% 18.44% 22.07% 25.60% 24.88% 19.24% 19.19% 17.96% 22.48% 26.32%
OM Operating Margin
5.48% 8.93% 11.35% 10.85% 13.70% 12.24% 14.23% 14.21% 7.70% 7.99% 6.96% 8.35% 9.83% 10.65% 9.37% 8.22% 5.67% 8.79% 10.52%
EPS Earnings Per Share
0.00€ 0.21€ 0.20€ 0.24€ 0.18€ 0.18€ 0.13€ 0.20€ 0.14€ 0.09€ 0.10€ 0.10€ 0.12€ 0.12€ 0.17€ 0.13€ 0.13€ 0.11€ 0.19€ 0.12€ 0.11€
Div. Dividends
0.11€ 0.11€ 0.10€ 0.09€ 0.08€ 0.07€ 0.06€ 0.06€ 0.05€ 0.05€ 0.05€ 0.01€ 0.09€ 0.09€ 0.09€ 0.07€ 0.06€ 0.03€ 0.04€
PR % Payout Ratio %
55.00% 45.83% 55.56% 50.00% 61.54% 35.00% 42.86% 66.67% 50.00% 50.00% 41.67% 8.33% 52.94% 69.23% 69.23% 63.64% 31.58% 25.00% 36.36%
Sha. Shares
1283.08m 1283.08m 1285.06m 1296.98m 1300.93m 1276.23m 1276.23m 1276.23m 1276.23m 1276.23m 1276.23m 1276.23m 1276.23m 832.04m 832.04m 825.14m 824.58m 471.3m 464.81m
OCF Operating Cash Flow
1.08€B 950.47€M 821.51€M 724.65€M 777.90€M 659.89€M 605.81€M 576.03€M 330.23€M 386.81€M 378.57€M 183.02€M 332.86€M 232.69€M 258.43€M 109.38€M 85.88€M 110.23€M 67.97€M
FCF Free Cash Flow
185.49€M 192.70€M 136.36€M 200.67€M 330.90€M 302.60€M 335.83€M 219.94€M 73.31€M 121.14€M 38.82€M -310.23€M -191.53€M -57.06€M -70.21€M -80.49€M -74.33€M -32.26€M -96.50€M
FCFS Free Cash Flow Per Share
0.14€ 0.15€ 0.11€ 0.15€ 0.26€ 0.24€ 0.26€ 0.24€ 0.06€ 0.10€ 0.03€ -0.24€ -0.15€ -0.07€ -0.09€ -0.10€ -0.15€ -0.08€ -0.22€