7.38€
-0.04€ (-0.54%)
End-of-day quote: 05/17/2024
ENXTBR:PROX

Proximus PLC 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
5.99€B 5.85€B 5.54€B 5.44€B 5.64€B 5.76€B 5.74€B 5.83€B 5.94€B 5.96€B 6.24€B 6.42€B 6.36€B 6.55€B 5.92€B 5.97€B 6.05€B 6.08€B 5.44€B 5.50€B
GM % Gross Margin %
38.87% 37.91% 39.21% 40.75% 35.37% 39.26% 38.58% 38.38% 36.64% 41.67% 37.25% 41.40% 42.87% 42.79% 45.81% 47.88% 47.97% 48.64% 53.78% 55.41%
OM Operating Margin
9.81% 11.58% 11.41% 13.96% 9.45% 13.83% 14.55% 15.17% 14.30% 14.06% 14.17% 16.09% 18.06% 17.82% 19.76% 20.61% 21.08% 21.83% 27.05% 29.73%
EPS Earnings Per Share
0.00€ 1.10€ 1.50€ 1.43€ 1.75€ 1.35€ 1.73€ 1.77€ 1.85€ 1.50€ 2.11€ 2.01€ 2.29€ 2.39€ 2.77€ 2.78€ 2.71€ 3.01€ 2.87€ 3.11€ 2.69€
Div. Dividends
1.20€ 1.20€ 1.20€ 1.20€ 1.50€ 1.50€ 1.50€ 1.50€ 1.50€ 1.50€ 2.18€ 2.49€ 2.18€ 2.18€ 2.08€ 1.68€ 1.68€ 1.60€ 1.52€ 1.93€
PR % Payout Ratio %
109.09% 80.00% 83.92% 68.57% 111.11% 86.71% 84.75% 81.08% 100.00% 71.09% 108.46% 108.73% 91.21% 78.70% 74.82% 61.99% 55.81% 55.75% 48.87% 71.75%
Sha. Shares
322.62m 322.39m 322.74m 322.69m 322.98m 322.7m 322.64m 322.64m 322m 321.23m 318.76m 318.32m 317.65m 321.48m 320.61m 320.33m 332.07m 333.96m 340.39m 350.7m
OCF Operating Cash Flow
1.62€B 1.72€B 1.62€B 1.52€B 1.66€B 1.56€B 1.47€B 1.52€B 1.39€B 1.45€B 1.32€B 1.48€B 1.55€B 1.67€B 1.41€B 1.55€B 1.58€B 1.64€B 1.88€B 1.90€B
FCF Free Cash Flow
169.50€M 167.00€M 237.00€M 352.00€M 498.00€M 451.00€M 481.00€M 559.00€M 408.00€M 531.00€M 467.00€M 691.00€M 794.00€M 980.00€M 809.00€M 788.00€M 956.00€M 967.00€M 1.19€B 1.34€B
FCFS Free Cash Flow Per Share
0.52€ 0.86€ 1.50€ 1.32€ 1.75€ 1.42€ 1.49€ 1.73€ 1.20€ 1.66€ 1.47€ 2.22€ 2.48€ 2.90€ 2.52€ 2.42€ 2.86€ 2.86€ 3.44€ 3.74€