66.36€
0.00€ (0.00%)
End-of-day quote: 05/03/2024
ENXTPA:TTE

TotalEnergies 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
218.95€B 263.31€B 184.63€B 119.70€B 176.25€B 184.11€B 149.10€B 127.93€B 143.42€B 212.02€B 227.97€B 234.22€B 166.55€B 140.48€B 112.15€B 160.33€B 136.82€B 132.69€B 117.06€B 95.33€B
GM % Gross Margin %
34.67% 35.04% 34.92% 36.78% 33.92% 32.03% 33.24% 34.40% 33.37% 27.85% 29.44% 30.45% 31.62% 33.59% 36.64% 30.75% 35.82% 37.20% 39.95% 41.23%
OM Operating Margin
13.74% 18.87% 12.82% 3.48% 9.14% 9.97% 7.98% 5.40% 7.80% 7.82% 11.08% 12.98% 14.82% 14.19% 13.87% 14.76% 18.42% 18.23% 20.65% 17.86%
EPS Earnings Per Share
0.00€ 9.40€ 13.94€ 6.68€ 1.43€ 4.38€ 5.05€ 4.12€ 3.38€ 4.51€ 5.63€ 6.43€ 7.32€ 6.67€ 6.21€ 4.75€ 7.96€ 7.82€ 7.14€ 6.04€ 4.72€
Div. Dividends
3.24€ 4.09€ 3.03€ 3.18€ 2.94€ 2.88€ 3.04€ 2.61€ 2.77€ 2.78€ 3.24€ 3.14€ 3.00€ 3.09€ 3.11€ 2.93€ 3.02€ 2.45€ 1.93€ 1.77€
PR % Payout Ratio %
34.47% 29.34% 45.36% 222.38% 67.12% 57.03% 73.79% 77.22% 61.42% 49.38% 50.39% 42.90% 44.98% 49.76% 65.47% 36.81% 38.62% 34.31% 31.95% 37.50%
Sha. Shares
2351.71m 2481.94m 2606.59m 2628.73m 2586.41m 2608.13m 2520.61m 2419.78m 2326.09m 2275.91m 2268.46m 2257.54m 2254.21m 2237.15m 2233.02m 2228.73m 2244.11m 2264.57m 2323.47m 2383.77m
OCF Operating Cash Flow
40.68€B 47.37€B 30.41€B 14.80€B 24.69€B 24.70€B 22.32€B 16.52€B 19.95€B 25.61€B 28.51€B 28.86€B 19.54€B 18.49€B 12.36€B 18.67€B 17.69€B 16.06€B 14.67€B 14.66€B
FCF Free Cash Flow
17.31€B 31.68€B 18.07€B 4.04€B 12.88€B 7.62€B 8.55€B -1585.00€M -5186.00€M -811.44€M -1260.45€M 3.44€B 2.09€B 6.34€B -3799.56€M 3.44€B 417.84€M 3.05€B 4.59€B 6.89€B
FCFS Free Cash Flow Per Share
9.50€ 12.40€ 6.87€ 1.55€ 4.95€ 2.92€ 3.45€ -0.67€ -2.26€ -0.31€ -0.55€ 1.46€ 0.71€ 2.09€ 0.23€ 3.05€ 3.16€ 2.68€ 2.48€ 2.85€