62.05€
-0.60€ (-0.96%)
End-of-day quote: 05/17/2024
ENXTBR:COFB

Cofinimmo Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2006
Rev. Revenue
367.71€M 343.12€M 292.73€M 285.38€M 263.47€M 263.20€M 257.44€M 255.20€M 258.52€M 273.08€M 258.04€M 259.23€M 257.11€M 267.90€M 245.57€M 189.65€M
GM % Gross Margin %
74.72% 75.25% 75.60% 71.35% 69.66% 69.21% 71.61% 72.52% 72.47% 70.91% 72.25% 72.16% 74.99% 71.94% 72.69% 65.76%
OM Operating Margin
64.11% 62.73% 63.27% 63.17% 65.09% 65.53% 67.97% 68.84% 69.68% 68.46% 72.09% 80.82% 72.78% 70.23% 70.17% 63.34%
EPS Earnings Per Share
6.99€ 7.21€ 6.80€ 6.77€ 6.54€ 6.54€ 6.14€ 6.27€ 6.83€ 6.64€ 7.21€ 6.56€ 7.11€ 7.32€ 8.07€ 9.26€
Div. Dividends
6.20€ 6.00€ 5.80€ 5.60€ 5.50€ 5.50€ 5.50€ 5.50€ 5.50€ 6.50€ 6.50€ 6.50€ 6.50€ 6.50€ 7.80€ 7.40€
PR % Payout Ratio %
88.70% 83.22% 85.29% 82.72% 84.10% 84.10% 89.58% 87.72% 80.53% 97.89% 90.15% 99.09% 91.42% 88.80% 96.65% 79.91%
Sha. Shares
32.85m 31.66m 27.02m 25.8m 22.95m 21.31m 20.99m 20.98m 17.97m 17.59m 16.01m 15.19m 14.86m 14.01m 12.49m 11.37m
OCF Operating Cash Flow
210.42€M 200.44€M 179.53€M 169.20€M 160.61€M 157.02€M 143.90€M 169.99€M 149.08€M 152.97€M 150.18€M 148.75€M 152.36€M 143.71€M 142.12€M 111.57€M
FCF Free Cash Flow
95.01€M 116.42€M 177.62€M 168.72€M -34.52€M 156.10€M -17.83€M 92.28€M 9.36€M 93.59€M 23.90€M 147.93€M 151.92€M 142.82€M 141.89€M 109.85€M
FCFS Free Cash Flow Per Share
6.54€ 6.71€ 6.71€ 6.90€ 7.23€ 7.33€ 6.81€ 8.53€ 8.29€ 8.66€ 9.35€ 9.74€ 10.22€ 10.19€ 11.29€ 11.26€