50.74€
0.00€ (0.00%)
End-of-day quote: 05/17/2024
ENXTAM:RAND

Randstad N.V. 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
25.43€B 27.57€B 24.64€B 20.72€B 23.68€B 23.81€B 23.27€B 20.68€B 19.22€B 17.25€B 16.57€B 17.09€B 16.22€B 14.18€B 12.40€B 14.04€B 9.20€B 8.19€B 6.64€B 5.76€B
GM % Gross Margin %
20.76% 20.86% 19.87% 19.06% 19.87% 19.74% 20.22% 19.02% 18.70% 18.42% 18.18% 18.19% 18.23% 18.83% 19.53% 21.17% 22.07% 21.14% 21.17% 21.13%
OM Operating Margin
3.44% 4.18% 4.07% 2.27% 3.70% 3.95% 3.71% 3.93% 3.67% 2.98% 2.27% 1.55% 2.34% 2.39% 0.53% 3.86% 5.83% 5.14% 4.35% 3.89%
EPS Earnings Per Share
0.00€ 4.53€ 5.67€ 4.35€ 2.55€ 4.17€ 4.54€ 4.11€ 3.75€ 3.32€ 2.35€ 2.07€ 2.11€ 2.32€ 1.45€ 0.62€ -1.10€ 3.38€ 2.90€ 1.97€ 1.27€
Div. Dividends
2.28€ 2.85€ 2.19€ 1.62€ 4.32€ 3.38€ 2.76€ 1.89€ 1.68€ 1.29€ 0.95€ 1.25€ 1.25€ 1.18€ 0.00€ 0.00€ 1.25€ 1.25€ 0.84€ 0.66€
PR % Payout Ratio %
50.33% 50.26% 50.34% 63.53% 103.60% 74.45% 67.15% 50.40% 50.60% 54.89% 45.89% 59.24% 53.88% 81.38% 0.00% -0.00% 36.98% 43.10% 42.64% 51.97%
Sha. Shares
178.02m 182.66m 183.05m 183.3m 182.94m 183.1m 182.84m 182.43m 182.12m 179.83m 177.16m 172.07m 170.95m 170.05m 169.56m 169.54m 116.61m 116.06m 115.57m 115.35m
OCF Operating Cash Flow
1.19€B 1.07€B 914.00€M 1.46€B 1.27€B 974.00€M 688.00€M 559.70€M 565.60€M 557.50€M 340.70€M 528.60€M 519.50€M 369.20€M 742.70€M 760.10€M 401.40€M 409.60€M 238.20€M 264.70€M
FCF Free Cash Flow
825.30€M 739.00€M 590.00€M 1.13€B 915.00€M 627.00€M 580.80€M 465.70€M 498.80€M 487.70€M 296.20€M 465.10€M 440.30€M 309.30€M 694.20€M 668.10€M 340.90€M 347.80€M 180.30€M 237.50€M
FCFS Free Cash Flow Per Share
6.12€ 5.12€ 4.21€ 7.31€ 6.16€ 4.57€ 3.10€ 2.46€ 2.67€ 2.68€ 1.55€ 2.66€ 2.50€ 1.77€ 4.05€ 4.45€ 2.75€ 2.93€ 1.45€ 1.84€