14.60€
+ 0.01€ (0.07%)
End-of-day quote: 05/21/2024
XTRA:TEG

TAG Immobilien Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
1.35€B 969.54€M 616.49€M 683.71€M 498.45€M 529.48€M 533.66€M 339.88€M 461.20€M 521.61€M 345.42€M 252.84€M 139.59€M 89.47€M
GM % Gross Margin %
30.64% 37.37% 51.70% 50.28% 57.11% 50.67% 47.81% 66.68% 49.25% 88.19% 82.00% 70.73% 59.00% 58.26%
OM Operating Margin
21.26% 25.74% 37.25% 37.67% 41.91% 37.96% 36.72% 49.82% 36.87% 75.49% 66.46% 57.01% 41.10% 39.34%
EPS Earnings Per Share
0.00€ 1.05€ 1.25€ 1.00€ 0.75€ 2.77€ 2.95€ 0.56€ 0.50€ 0.51€ 0.42€ 0.43€ 1.60€ 0.89€ 0.45€
Div. Dividends
0.03€ 0.00€ 0.93€ 0.88€ 0.82€ 0.75€ 0.65€ 0.57€ 0.55€ 0.50€ 0.35€ 0.25€ 0.20€ 0.00€
PR % Payout Ratio %
2.86% 0.00% 93.00% 117.33% 29.60% 25.42% 116.07% 114.00% 107.84% 119.05% 81.40% 15.63% 22.47% 0.00%
Sha. Shares
175.48m 175.44m 146.38m 146.29m 146.34m 146.32m 146.44m 142.34m 125.47m 118.59m 131.3m 130.74m 74.91m 58.57m
OCF Operating Cash Flow
291.94€M 133.56€M 164.03€M 253.99€M 154.41€M 159.62€M 124.47€M 102.00€M 78.48€M 80.54€M 75.29€M 17.50€M -7.29€M -16.99€M
FCF Free Cash Flow
238.92€M -427.67€M -108.20€M 38.31€M -52.20€M 47.91€M -16.98€M 55.50€M 75.52€M 100.66€M 97.66€M 14.33€M -62.83€M -17.58€M
FCFS Free Cash Flow Per Share
1.66€ 0.84€ 1.12€ 1.74€ 1.06€ 1.09€ 0.78€ 0.72€ 0.61€ 0.63€ 0.53€ 0.15€ -0.12€ -0.46€