14.54€
+ 0.44€ (3.12%)
End-of-day quote: 05/27/2024
BME:FCC

Fomento de Construcciones y Contratas 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
9.23€B 7.89€B 6.79€B 6.31€B 6.41€B 6.10€B 5.97€B 6.16€B 6.67€B 6.56€B 7.05€B 7.63€B 12.13€B 12.16€B 12.96€B 14.35€B 13.56€B 9.52€B 7.15€B 6.35€B
GM % Gross Margin %
60.02% 62.25% 63.35% 63.77% 63.73% 63.25% 63.36% 65.23% 61.82% 65.84% 62.26% 63.52% 54.80% 54.16% 52.52% 50.87% 54.08% 37.29% 39.87% 39.31%
OM Operating Margin
10.33% 9.92% 9.93% 8.86% 8.82% 7.68% 7.41% 6.86% 5.29% 6.25% 1.01% 4.47% 3.86% 5.08% 5.47% 6.88% 8.93% 9.20% 9.17% 7.92%
EPS Earnings Per Share
0.00€ 1.32€ 0.73€ 1.40€ 0.66€ 0.69€ 0.66€ 0.31€ -0.44€ 0.17€ -5.70€ -3.42€ -7.08€ 1.16€ 2.56€ 2.70€ 2.71€ 5.67€ 4.12€ 3.24€ 2.73€
Div. Dividends
0.43€ 0.40€ 0.40€ 0.40€ 0.40€ 0.00€ 0.00€ 0.00€ 0.00€ 0.00€ 0.00€ 1.30€ 1.30€ 1.43€ 1.57€ 1.57€ 2.13€ 1.61€ 1.36€ 1.36€
PR % Payout Ratio %
32.58% 54.79% 28.57% 60.61% 57.97% 0.00% 0.00% -0.00% 0.00% -0.00% -0.00% -18.36% 112.07% 55.86% 58.15% 57.93% 37.57% 39.08% 41.98% 49.82%
Sha. Shares
436.06m 435.6m 422.76m 407.56m 391.01m 378m 378.6m 378.41m 260.16m 260.34m 127.02m 114.61m 114.61m 114.69m 117.99m 124.62m 124.83m 129.88m 129.47m 130.13m
OCF Operating Cash Flow
785.39€M 1.55€B 746.25€M 605.07€M 630.55€M 489.41€M 768.86€M 1.02€B 600.28€M 608.86€M 774.79€M 1.16€B 995.12€M 1.01€B 1.60€B 1.10€B 1.25€B 1.16€B 1.02€B 793.95€M
FCF Free Cash Flow
105.27€M 922.93€M 358.85€M 197.14€M 302.14€M 198.86€M 496.46€M 722.10€M 261.39€M 214.89€M 317.84€M 182.96€M 471.41€M 148.30€M 841.32€M 17.54€M -85.21€M 583.60€M 624.71€M 467.86€M
FCFS Free Cash Flow Per Share
-0.15€ 2.15€ 0.87€ 0.49€ 0.78€ 0.53€ 1.31€ 2.01€ 1.02€ 1.69€ 3.01€ 7.14€ 4.02€ 2.95€ 6.91€ 0.14€ -0.67€ 3.64€ 4.35€ 2.67€