106.30€
-1.95€ (-1.83%)
End-of-day quote: 05/16/2024
ENXTPA:FGR

Eiffage 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
22.37€B 20.87€B 19.20€B 16.66€B 18.69€B 16.89€B 15.37€B 14.31€B 14.06€B 13.95€B 14.27€B 14.03€B 13.80€B 13.55€B 13.64€B 13.67€B 12.58€B 10.70€B 8.50€B 7.79€B
GM % Gross Margin %
82.36% 82.75% 83.38% 82.53% 82.57% 81.98% 81.53% 82.64% 80.57% 81.99% 81.42% 80.45% 80.76% 79.13% 79.24% 78.27% 78.18% 77.48% 75.76% 74.73%
OM Operating Margin
10.57% 10.45% 9.54% 7.31% 10.51% 10.87% 10.97% 10.85% 9.79% 9.44% 8.98% 8.42% 8.00% 7.42% 6.58% 7.61% 8.68% 8.81% 4.74% 4.31%
EPS Earnings Per Share
0.00€ 10.65€ 9.46€ 7.98€ 3.83€ 7.48€ 6.49€ 5.38€ 4.49€ 3.42€ 3.10€ 2.96€ 2.53€ 2.28€ 2.60€ 2.17€ 3.60€ 4.26€ 4.50€ 1.69€ 2.41€
Div. Dividends
3.99€ 3.60€ 3.10€ 3.00€ 2.80€ 2.40€ 2.00€ 1.50€ 1.50€ 1.20€ 1.20€ 1.20€ 1.20€ 1.20€ 1.20€ 1.20€ 1.20€ 1.00€ 0.75€ 0.50€
PR % Payout Ratio %
37.46% 38.05% 38.85% 78.33% 37.43% 36.98% 37.17% 33.41% 43.86% 38.71% 40.54% 47.43% 52.63% 46.15% 55.30% 33.33% 28.17% 22.22% 44.38% 20.75%
Sha. Shares
94.02m 94.68m 95.67m 96.84m 97.78m 96.65m 96.11m 92.96m 90.75m 89.13m 87.3m 85.33m 85.57m 86.91m 86.58m 89.04m 92.65m 90.78m 86.79m 86.07m
OCF Operating Cash Flow
3.32€B 2.95€B 2.70€B 2.20€B 2.22€B 1.60€B 1.33€B 1.17€B 1.23€B 1.10€B 770.00€M 1.03€B 1.34€B 802.00€M 843.00€M 1.10€B 746.00€M 669.00€M 438.00€M 505.00€M
FCF Free Cash Flow
2.09€B 1.93€B 1.70€B 1.27€B 1.50€B 992.00€M 735.00€M 417.00€M 482.00€M 308.00€M 623.00€M 380.00€M 511.00€M -1461.00€M 619.00€M 776.00€M 526.00€M 537.00€M 305.00€M 384.00€M
FCFS Free Cash Flow Per Share
26.04€ 20.91€ 17.65€ 12.99€ 14.58€ 9.33€ 7.76€ 6.93€ 8.25€ 7.74€ 2.85€ 6.27€ 9.34€ -1.45€ -2.17€ 2.42€ -1.61€ 2.19€ 2.73€ 2.96€