436.70€
+ 4.20€ (0.96%)
End-of-day quote: 05/02/2024
ENXTPA:OR

L'Oréal 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
41.18€B 38.26€B 32.29€B 27.99€B 29.87€B 26.94€B 26.02€B 24.92€B 24.29€B 22.53€B 22.12€B 21.64€B 20.34€B 19.50€B 17.47€B 17.54€B 17.06€B 15.79€B 14.53€B 13.64€B
GM % Gross Margin %
73.86% 72.35% 73.88% 73.09% 73.00% 72.78% 71.72% 71.63% 71.21% 71.15% 71.17% 70.48% 71.24% 70.78% 70.46% 70.43% 71.15% 71.06% 70.09% 69.94%
OM Operating Margin
19.77% 19.47% 19.05% 18.56% 18.57% 18.27% 17.97% 18.00% 17.71% 17.14% 16.82% 16.44% 16.19% 15.68% 14.75% 15.53% 16.57% 16.44% 15.91% 35.05%
EPS Earnings Per Share
0.00€ 12.08€ 11.26€ 8.82€ 7.30€ 7.74€ 7.08€ 6.65€ 6.46€ 6.18€ 5.34€ 5.13€ 4.91€ 4.32€ 4.01€ 3.42€ 3.49€ 3.36€ 2.98€ 2.60€ 2.34€
Div. Dividends
6.60€ 6.00€ 4.80€ 4.00€ 4.25€ 3.85€ 3.55€ 3.30€ 3.10€ 2.70€ 2.50€ 2.30€ 2.00€ 1.80€ 1.50€ 1.44€ 1.38€ 1.18€ 1.00€ 0.82€
PR % Payout Ratio %
54.64% 53.29% 54.42% 54.79% 54.91% 54.38% 53.38% 51.08% 50.16% 50.56% 48.73% 46.84% 46.30% 44.89% 43.86% 41.26% 41.07% 39.60% 38.46% 35.04%
Sha. Shares
534.73m 535.19m 535.41m 559.87m 558.12m 559.63m 559.75m 560.1m 559.99m 554.24m 599.79m 598.36m 594.39m 589.66m 584.74m 583.14m 595.31m 605.72m 619.97m 638.27m
OCF Operating Cash Flow
7.60€B 6.28€B 6.73€B 6.45€B 6.26€B 5.29€B 5.20€B 4.70€B 4.20€B 3.86€B 3.71€B 3.38€B 2.90€B 3.30€B 3.22€B 2.60€B 2.64€B 2.48€B 2.09€B 1.85€B
FCF Free Cash Flow
6.68€B 4.94€B 5.65€B 5.48€B 5.03€B 3.88€B 3.93€B 3.32€B 3.03€B 2.86€B 2.69€B 2.58€B 2.04€B 2.63€B 2.60€B 1.85€B 1.87€B 1.73€B 1.43€B 1.17€B
FCFS Free Cash Flow Per Share
11.42€ 9.21€ 10.14€ 9.80€ 8.99€ 6.93€ 7.03€ 6.03€ 5.51€ 4.95€ 4.51€ 4.10€ 3.44€ 4.48€ 4.45€ 3.14€ 3.11€ 2.82€ 2.27€ 1.81€