39.84€
0.00€ (0.00%)
End-of-day quote: 05/18/2024
BME:ACS

ACS, Actividades de Construcción y Servicios Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
35.74€B 33.62€B 27.84€B 34.94€B 39.05€B 36.64€B 34.88€B 31.97€B 33.30€B 34.92€B 35.19€B 38.42€B 28.49€B 14.37€B 15.53€B 16.29€B 21.78€B 14.59€B 12.56€B 11.26€B
GM % Gross Margin %
31.58% 30.49% 31.74% 32.42% 34.10% 34.60% 34.85% 33.32% 34.13% 35.42% 35.39% 37.97% 36.86% 41.05% 42.01% 42.05% 43.70% 40.86% 42.53% 42.58%
OM Operating Margin
2.14% 0.82% 1.99% 0.37% 4.04% 4.48% 4.34% 4.28% 3.36% 2.74% 4.93% 4.04% 4.95% 7.21% 6.66% 7.66% 10.85% 6.46% 6.51% 6.43%
EPS Earnings Per Share
0.00€ 3.00€ 2.50€ 2.54€ 1.95€ 3.13€ 2.94€ 2.57€ 2.44€ 2.35€ 2.31€ 1.87€ 2.42€ 3.24€ 3.08€ 2.71€ 3.39€ 2.94€ 2.36€ 1.74€ 1.40€
Div. Dividends
1.96€ 2.00€ 2.00€ 2.44€ 1.89€ 1.39€ 1.40€ 1.21€ 0.45€ 1.15€ 1.15€ 1.97€ 2.05€ 2.05€ 2.05€ 1.75€ 1.44€ 0.60€ 0.39€ 0.39€
PR % Payout Ratio %
65.33% 80.00% 78.74% 125.13% 60.38% 47.28% 54.47% 49.59% 19.15% 49.78% 61.50% 81.40% 63.27% 66.56% 75.65% 51.62% 48.98% 25.42% 22.41% 27.86%
Sha. Shares
260.61m 258.26m 275.79m 285.06m 303.28m 308.22m 310.91m 309.99m 304.77m 307.75m 311.9m 293.3m 291.06m 295.12m 304.83m 318.64m 340.93m 345.89m 352.87m 351.15m
OCF Operating Cash Flow
1.50€B 1.74€B 203.14€M 1.14€B 2.38€B 2.32€B 1.86€B 1.40€B 2.01€B 824.02€M 1.09€B 1.30€B 1.29€B 1.34€B 1.59€B 1.06€B 2.36€B 1.36€B 1.38€B 1.06€B
FCF Free Cash Flow
663.75€M 923.00€M -183.07€M 689.00€M 1.72€B 1.24€B 1.23€B 815.33€M 1.29€B -1486.00€M -1088.90€M -1197.00€M -1030.74€M -3481.32€M -114.38€M -488.41€M -533.52€M 235.62€M 493.85€M 203.06€M
FCFS Free Cash Flow Per Share
3.87€ 5.46€ -0.65€ 0.90€ 3.95€ 4.86€ 3.93€ 2.65€ 4.17€ -0.06€ -0.68€ -1.54€ -3.48€ -0.44€ -0.37€ -1.47€ -1.55€ 0.67€ 1.41€ 0.58€