zł741.50
+ zł6.00 (0.81%)
End-of-day quote: 05/16/2024
WSE:BDX

Budimex 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
zł9.80B zł8.62B zł7.91B zł8.38B zł7.57B zł7.39B zł6.37B zł5.57B zł5.13B zł4.95B zł4.75B zł6.08B zł5.52B zł4.43B zł3.29B zł3.27B zł3.08B zł3.04B zł2.70B zł2.15B
GM % Gross Margin %
11.47% 10.12% 10.53% 11.17% 7.27% 8.66% 12.72% 13.44% 9.55% 8.74% 7.10% 7.36% 8.28% 10.83% 12.41% 11.80% 4.81% 4.69% 4.65% 0.40%
OM Operating Margin
7.26% 6.52% 7.48% 7.65% 3.81% 4.99% 9.14% 9.02% 5.27% 4.82% 2.82% 4.09% 5.71% 7.26% 6.92% 6.15% -0.58% -0.50% -1.82% -5.82%
EPS Earnings Per Share
zł0.00 zł28.91 zł20.93 zł38.06 zł18.00 zł8.85 zł11.96 zł18.19 zł16.05 zł9.24 zł7.52 zł11.77 zł7.29 zł10.22 zł10.47 zł6.80 zł4.10 zł0.59 zł0.15 zł0.08 zł0.03
Div. Dividends
zł21.17 zł17.99 zł38.37 zł4.60 zł6.30 zł17.60 zł0.00 zł14.99 zł8.14 zł6.11 zł11.85 zł4.39 zł10.97 zł9.08 zł6.80 zł0.00 zł0.00 zł0.00 zł0.00 zł0.00
PR % Payout Ratio %
73.23% 85.95% 100.81% 25.56% 71.19% 147.16% 0.00% 93.40% 88.10% 81.25% 100.68% 60.22% 107.34% 86.72% 100.00% 0.00% 0.00% 0.00% 0.00% 0
Sha. Shares
25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m 25.53m
OCF Operating Cash Flow
zł1.31B zł1.43B zł765.45M zł887.51M zł574.35M zł-523.38M zł195.80M zł611.50M zł699.26M zł486.06M zł312.66M zł-44.15M zł351.40M zł1.19B zł964.45M zł172.95M zł-15.18M zł-77.96M zł-49.52M zł35.52M
FCF Free Cash Flow
zł713.00M zł338.00M zł660.94M zł826.26M zł530.58M zł-544.90M zł163.53M zł568.84M zł667.88M zł469.99M zł301.09M zł-68.27M zł335.80M zł1.17B zł950.53M zł162.57M zł-26.32M zł-98.62M zł-62.59M zł16.48M
FCFS Free Cash Flow Per Share
zł45.83 zł51.02 zł25.89 zł32.36 zł20.78 zł-21.34 zł6.41 zł22.28 zł26.16 zł18.41 zł11.72 zł-2.67 zł13.15 zł45.78 zł37.23 zł6.37 zł-1.03 zł-3.86 zł-2.45 zł0.65