803.00€
0.00€ (0.00%)
End-of-day quote: 05/04/2024
XTRA:RAA

RATIONAL 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
1.13€B 1.02€B 779.73€M 649.59€M 843.63€M 777.86€M 702.10€M 613.01€M 564.23€M 496.73€M 461.15€M 434.98€M 391.69€M 350.14€M 314.35€M 342.96€M 336.56€M 283.70€M 246.41€M 221.82€M
GM % Gross Margin %
56.72% 55.27% 55.05% 55.44% 58.98% 58.74% 59.94% 61.80% 61.90% 61.21% 60.87% 60.17% 59.84% 61.97% 60.94% 59.39% 59.38% 61.25% 60.77% 59.29%
OM Operating Margin
25.00% 23.29% 20.29% 17.88% 26.25% 26.33% 27.44% 27.51% 28.42% 27.88% 28.52% 28.10% 25.56% 29.46% 28.04% 24.47% 27.48% 28.32% 26.85% 24.17%
EPS Earnings Per Share
0.00€ 18.93€ 16.31€ 10.88€ 7.04€ 15.09€ 13.84€ 12.58€ 11.18€ 10.71€ 9.68€ 8.55€ 8.20€ 6.93€ 7.02€ 5.92€ 5.42€ 5.53€ 4.55€ 3.72€ 3.00€
Div. Dividends
13.50€ 11.00€ 7.50€ 4.80€ 10.70€ 9.50€ 11.00€ 8.00€ 7.50€ 6.80€ 6.00€ 5.70€ 5.50€ 5.73€ 3.50€ 1.00€ 4.50€ 3.75€ 3.00€ 5.00€
PR % Payout Ratio %
71.32% 67.44% 68.93% 68.18% 70.91% 68.64% 87.44% 71.56% 70.03% 70.25% 70.18% 69.51% 79.37% 81.62% 59.12% 18.45% 81.37% 82.42% 80.65% 166.67%
Sha. Shares
11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m 11.4m 11.37m 11.37m 11.37m 11.37m 11.37m 11.37m
OCF Operating Cash Flow
258.35€M 160.62€M 172.10€M 92.69€M 198.64€M 144.33€M 145.94€M 129.49€M 142.96€M 112.45€M 102.83€M 111.44€M 67.72€M 86.85€M 83.19€M 71.03€M 61.06€M 49.14€M 32.76€M 39.23€M
FCF Free Cash Flow
211.73€M 123.43€M 145.89€M 59.29€M 157.96€M 98.16€M 111.71€M 104.90€M 123.60€M 95.70€M 90.80€M 102.08€M 62.00€M 82.40€M 80.81€M 38.44€M 46.75€M 43.41€M 28.41€M 33.51€M
FCFS Free Cash Flow Per Share
19.68€ 10.86€ 12.87€ 5.21€ 13.89€ 8.63€ 9.83€ 9.23€ 10.86€ 8.41€ 7.99€ 8.98€ 5.45€ 7.25€ 7.11€ 3.38€ 4.11€ 3.82€ 2.50€ 2.95€