43.82€
-0.58€ (-1.31%)
End-of-day quote: 05/17/2024
ENXTBR:BEKB

NV Bekaert 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
4.33€B 5.65€B 4.84€B 3.77€B 4.32€B 4.31€B 4.10€B 3.72€B 3.67€B 3.22€B 3.19€B 3.46€B 3.34€B 3.26€B 2.44€B 2.66€B 2.17€B 2.01€B 1.91€B 1.74€B
GM % Gross Margin %
17.21% 15.15% 18.65% 15.87% 13.60% 13.59% 17.18% 18.60% 16.28% 15.10% 15.14% 13.83% 19.50% 27.72% 21.92% 22.60% 19.96% 19.65% 20.49% 22.89%
OM Operating Margin
9.00% 7.92% 10.54% 7.32% 5.66% 4.89% 7.41% 8.28% 6.80% 5.21% 5.42% 3.38% 8.50% 17.26% 10.63% 11.21% 8.72% 8.14% 8.83% 8.29%
EPS Earnings Per Share
0.00€ 5.46€ 5.96€ 7.08€ 2.26€ 1.15€ 1.61€ 2.96€ 2.31€ 1.85€ 1.42€ 0.47€ -0.47€ 3.40€ 6.51€ 2.97€ 4.34€ 2.72€ 2.46€ 2.57€ 2.76€
Div. Dividends
1.69€ 1.65€ 1.50€ 1.00€ 0.70€ 0.70€ 1.10€ 1.10€ 0.90€ 0.85€ 0.85€ 0.85€ 1.17€ 1.67€ 0.98€ 0.93€ 0.92€ 0.83€ 1.00€ 0.67€
PR % Payout Ratio %
30.95% 27.68% 21.19% 44.25% 60.87% 43.48% 37.16% 47.62% 48.65% 59.86% 180.85% -180.85% 34.41% 25.65% 33.00% 21.43% 33.82% 33.74% 38.91% 24.28%
Sha. Shares
52.59m 54.65m 57.31m 56.6m 56.54m 56.51m 56.74m 56.46m 55.88m 55.84m 58.41m 60.78m 59.04m 58.92m 59.41m 59.19m 59.49m 62.84m 64.59m 65.62m
OCF Operating Cash Flow
439.83€M 340.29€M 384.60€M 504.92€M 524.33€M 243.72€M 244.15€M 399.55€M 583.56€M 186.95€M 305.76€M 438.85€M 105.59€M 342.48€M 497.40€M 222.21€M 221.41€M 192.67€M 178.80€M 159.74€M
FCF Free Cash Flow
348.50€M 173.24€M 264.75€M 400.44€M 429.82€M 62.42€M -28.52€M 241.02€M 406.99€M 54.17€M 211.13€M 311.51€M -161.04€M 112.14€M 330.87€M -16.41€M 28.99€M 39.89€M 36.91€M -6.50€M
FCFS Free Cash Flow Per Share
4.29€ 2.76€ 4.00€ 7.02€ 7.53€ 1.04€ -0.57€ 4.18€ 7.29€ 0.56€ 3.62€ 5.28€ -2.92€ 1.63€ 5.59€ -0.49€ 0.36€ 0.49€ 0.42€ -0.20€