122.50€
0.00€ (0.00%)
End-of-day quote: 05/17/2024
BME:ANA

Acciona 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
17.97€B 12.21€B 8.67€B 7.26€B 7.87€B 7.97€B 7.87€B 6.53€B 6.79€B 6.86€B 6.60€B 7.52€B 7.40€B 6.99€B 7.62€B 8.52€B 8.83€B 6.82€B 5.35€B 4.41€B
GM % Gross Margin %
69.58% 72.07% 78.42% 72.15% 74.54% 73.32% 75.26% 75.71% 73.01% 72.81% 76.30% 77.62% 76.58% 76.16% 71.95% 65.18% 70.41% 76.08% 75.79% 74.62%
OM Operating Margin
4.00% 9.50% 7.71% 4.88% 8.77% 7.60% 7.83% 9.24% 9.29% 7.86% -0.43% 9.21% 8.08% 7.46% 6.27% 6.27% 10.66% 9.24% 9.57% 8.07%
EPS Earnings Per Share
0.00€ 10.05€ 8.25€ 7.31€ 5.60€ 6.47€ 5.87€ 4.07€ 6.16€ 3.63€ 3.28€ 1.45€ 3.29€ 3.40€ 2.73€ 2.32€ 5.72€ 10.80€ 4.37€ 5.11€ 3.55€
Div. Dividends
4.73€ 4.50€ 4.10€ 3.90€ 1.93€ 3.35€ 3.00€ 2.88€ 2.50€ 2.00€ 1.75€ 3.00€ 4.17€ 1.94€ 2.92€ 3.65€ 3.65€ 2.93€ 1.67€ 1.68€
PR % Payout Ratio %
47.06% 54.55% 56.09% 69.64% 29.83% 57.07% 73.71% 46.75% 68.87% 60.98% 120.69% 91.19% 122.65% 71.06% 125.86% 63.81% 33.80% 67.05% 32.68% 47.32%
Sha. Shares
54.75m 54.69m 54.65m 54.56m 54.46m 54.36m 57.21m 57.03m 56.94m 56.73m 57.12m 57.15m 57.95m 60.26m 62.06m 62.02m 62.08m 62.21m 63.2m 63.28m
OCF Operating Cash Flow
1.70€B 1.65€B 574.00€M 967.52€M 716.34€M 635.65€M 491.09€M 823.00€M 682.95€M 809.99€M 707.40€M 752.92€M 887.37€M 1.24€B 200.89€M 1.18€B 224.19€M 515.81€M 893.37€M 461.29€M
FCF Free Cash Flow
-1720.33€M -282.00€M -375.40€M 61.79€M -132.00€M -9.05€M -277.68€M 32.77€M 476.83€M 389.85€M 368.23€M -77.75€M -94.75€M 88.79€M -4020.11€M -1970.88€M -2889.81€M -7426.19€M -214.63€M -274.63€M
FCFS Free Cash Flow Per Share
-21.91€ -10.00€ -6.85€ 1.13€ -11.02€ -0.16€ -4.86€ 0.57€ 8.40€ 6.83€ 5.69€ 0.01€ -1.59€ 1.45€ -66.72€ -31.06€ -31.17€ -129.02€ -0.85€ -4.35€