329.85€
+ 3.05€ (0.93%)
End-of-day quote: 05/07/2024
ENXTPA:KER

Kering 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
19.57€B 20.35€B 17.65€B 13.10€B 15.88€B 13.67€B 10.82€B 12.38€B 11.58€B 10.04€B 9.66€B 9.74€B 8.06€B 11.01€B 13.58€B 17.21€B 19.10€B 17.03€B 16.94€B 12.63€B
GM % Gross Margin %
76.29% 74.68% 74.06% 72.59% 74.13% 74.63% 73.19% 62.90% 61.07% 62.72% 62.56% 61.22% 61.72% 48.77% 49.20% 46.93% 43.49% 43.88% 43.33% 46.02%
OM Operating Margin
24.26% 27.46% 28.43% 23.93% 30.08% 28.86% 24.88% 15.23% 14.22% 16.58% 18.14% 18.40% 18.55% 12.45% 9.13% 8.37% 8.55% 7.49% 6.27% 6.70%
EPS Earnings Per Share
0.00€ 25.01€ 30.42€ 26.98€ 15.78€ 25.59€ 22.36€ 15.89€ 10.17€ 8.07€ 9.35€ 9.75€ 10.06€ 8.35€ 7.35€ 5.63€ 6.94€ 7.44€ 5.73€ 4.42€ 3.97€
Div. Dividends
14.00€ 14.00€ 12.00€ 8.00€ 11.50€ 10.50€ 6.00€ 4.60€ 4.00€ 4.00€ 3.75€ 3.75€ 3.50€ 3.50€ 3.30€ 3.30€ 3.45€ 3.00€ 2.72€ 2.52€
PR % Payout Ratio %
55.98% 46.02% 44.48% 50.70% 44.94% 46.96% 37.76% 45.23% 49.57% 42.78% 38.46% 37.28% 41.92% 47.62% 58.61% 47.55% 46.37% 52.36% 61.54% 63.48%
Sha. Shares
122.58m 122.22m 124.07m 124.92m 125.02m 125.85m 126.28m 126.28m 126.25m 126.24m 126.17m 126.09m 125.94m 126.75m 126.49m 126.48m 127.5m 128.39m 120.3m 122.13m
OCF Operating Cash Flow
4.46€B 4.27€B 4.87€B 2.88€B 2.65€B 3.37€B 3.01€B 1.77€B 1.24€B 818.60€M 1.25€B 1.39€B 1.27€B 1.26€B 1.45€B 1.37€B 1.90€B 1.46€B 1.23€B 760.73€M
FCF Free Cash Flow
3.80€B 3.21€B 3.94€B 2.10€B 1.52€B 2.96€B 2.32€B 1.18€B 587.50€M 709.90€M 847.20€M 930.00€M 934.00€M 1.08€B 1.11€B 777.60€M 1.31€B 1.05€B 849.80€M 528.73€M
FCFS Free Cash Flow Per Share
15.10€ 25.71€ 31.45€ 16.78€ 13.48€ 20.18€ 19.12€ 9.23€ 4.53€ 2.12€ 4.56€ 7.54€ 8.04€ 7.57€ 9.24€ 6.84€ 10.38€ 8.68€ 7.45€ 4.45€