115.15€
0.00€ (0.00%)
End-of-day quote: 05/01/2024
XTRA:VOW3

Volkswagen Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
322.28€B 279.23€B 250.20€B 222.88€B 252.63€B 235.85€B 229.55€B 217.27€B 213.29€B 202.46€B 197.01€B 192.68€B 159.34€B 126.88€B 105.19€B 113.81€B 108.90€B 104.88€B 94.00€B
GM % Gross Margin %
18.20% 17.73% 17.79% 16.46% 18.30% 18.82% 18.17% 18.22% 15.25% 17.00% 17.14% 17.32% 17.01% 16.83% 12.51% 14.56% 15.13% 13.41% 12.05%
OM Operating Margin
7.64% 8.26% 7.72% 5.21% 7.57% 7.55% 6.57% 6.89% 3.28% 5.90% 5.72% 6.14% 6.97% 5.75% 0.32% 4.36% 5.79% 4.27% 1.94%
EPS Earnings Per Share
0.00€ 31.98€ 30.26€ 30.80€ 17.99€ 30.23€ 28.57€ 28.08€ 21.41€ 29.91€ 21.90€ 18.80€ 46.48€ 33.16€ 15.23€ 2.44€ 11.89€ 10.34€ 5.99€ 3.81€
Div. Dividends
9.00€ 7.50€ 7.56€ 4.86€ 6.56€ 4.86€ 3.96€ 2.06€ 0.17€ 4.80€ 4.06€ 3.56€ 3.06€ 2.26€ 1.66€ 1.99€ 1.80€ 1.31€ 1.21€
PR % Payout Ratio %
28.14% 24.79% 24.55% 27.02% 21.70% 17.01% 14.10% 9.62% 0.57% 21.92% 21.60% 7.66% 9.23% 14.84% 68.03% 16.74% 17.41% 21.87% 31.76%
Sha. Shares
501.3m 501.3m 501.3m 501.3m 501.3m 501.3m 501.3m 501.3m 501.3m 475.73m 465.24m 465.23m 465.23m 465.19m 400.24m 400.16m 396.58m 392.22m 385.45m
OCF Operating Cash Flow
19.36€B 28.50€B 38.63€B 24.90€B 17.98€B 7.27€B -1185.00€M 9.43€B 13.68€B 10.78€B 12.60€B 7.21€B 8.50€B 11.46€B 12.74€B 2.70€B 15.66€B 14.47€B 10.71€B
FCF Free Cash Flow
5.81€B 7.41€B 21.91€B 13.66€B 11.56€B 5.31€B -6205.00€M 1.73€B 6.16€B -1228.00€M 1.21€B -3284.00€M 413.00€M 8.27€B 6.78€B -4194.00€M 8.26€B 8.21€B 3.33€B
FCFS Free Cash Flow Per Share
-12.84€ 11.62€ 40.17€ 14.27€ -2.83€ -23.32€ -38.89€ -18.90€ -9.09€ -11.74€ -5.78€ -12.61€ -2.69€ 8.96€ 12.00€ -16.10€ 17.28€ 17.37€ 4.93€