158.70€
0.00€ (0.00%)
End-of-day quote: 04/27/2024
ENXTPA:HO

Thales 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
18.43€B 17.57€B 16.19€B 16.99€B 18.40€B 15.85€B 15.23€B 14.88€B 14.06€B 12.97€B 12.70€B 14.16€B 13.03€B 13.12€B 12.88€B 12.66€B 12.30€B 10.26€B 10.26€B 10.28€B
GM % Gross Margin %
25.86% 25.65% 24.91% 23.16% 24.58% 25.14% 24.38% 24.25% 24.00% 24.53% 23.72% 23.24% 22.73% 15.97% 17.45% 21.32% 22.24% 23.19% 23.02% 22.79%
OM Operating Margin
8.55% 8.48% 7.49% 5.57% 7.30% 8.91% 7.41% 7.66% 7.10% 7.04% 6.84% 5.59% 5.96% -1.16% 0.49% 6.11% 6.73% 7.17% 6.71% 6.64%
EPS Earnings Per Share
0.00€ 8.48€ 7.35€ 6.39€ 4.40€ 6.61€ 5.55€ 4.64€ 4.25€ 3.89€ 2.75€ 3.20€ 2.93€ 2.80€ -0.23€ 0.90€ 3.19€ 3.21€ 3.25€ 2.94€ 1.19€
Div. Dividends
3.12€ 2.94€ 2.56€ 1.76€ 2.65€ 2.08€ 1.75€ 1.60€ 1.36€ 1.12€ 1.12€ 0.88€ 0.78€ 0.50€ 0.50€ 1.05€ 1.00€ 0.87€ 0.83€ 0.80€
PR % Payout Ratio %
36.79% 40.00% 40.06% 40.00% 40.09% 37.48% 37.72% 37.65% 34.96% 40.73% 35.00% 30.03% 27.86% -217.39% 55.56% 32.92% 31.15% 26.77% 28.23% 67.23%
Sha. Shares
206.67m 210.13m 212.92m 212.87m 212.76m 212.46m 212.09m 211.45m 210.12m 205.96m 203.25m 199.54m 198.79m 195.37m 195.47m 194.98m 195.4m 168.87m 168.75m 165.28m
OCF Operating Cash Flow
1.60€B 2.86€B 2.83€B 1.35€B 1.77€B 1.09€B 1.71€B 1.34€B 1.47€B 875.20€M 770.60€M 1.02€B 577.20€M 522.80€M 1.16€B 820.80€M 984.90€M 753.60€M 609.60€M 358.60€M
FCF Free Cash Flow
1.55€B 2.49€B 2.26€B 958.70€M 1.37€B 699.50€M 1.27€B 857.60€M 1.11€B 402.60€M 380.90€M 669.00€M 379.00€M 271.00€M 741.90€M 297.90€M 456.70€M 341.50€M 218.80€M 48.00€M
FCFS Free Cash Flow Per Share
4.66€ 10.98€ 11.19€ 4.47€ 5.96€ 3.29€ 6.02€ 4.07€ 4.78€ 1.97€ 1.92€ 2.92€ 1.59€ 1.06€ 3.77€ 1.47€ 2.35€ 2.02€ 1.31€ 0.30€