Iren SpA
BIT:IRE
2,62
€-0,01 (-0,38%)
2,62
€-0,01 (-0,38%)
End-of-day quote: 04/10/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

€0,23
Earnings Per Share
€5,12
Revenue Per Share
32,53%
Gross Margin %
€3,37 B
Market Cap
€4,49 B
Long-Term Debt
Earnings Per Share
€0,23
Revenue Per Share
€5,12
Gross Margin %
32,53%
Market Cap
€3,37 B
Long-Term Debt
€4,49 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €0,23 €0,20 €0,23 €0,20 €0,24 €0,18 €0,18 €0,13 €0,20 €0,14 €0,09 €0,10 €0,10 €0,12 €0,12 €0,17 €0,13 €0,13 €0,11 €0,19
Earnings Earnings €295,11M €256,62M €295,11M €256,62M €307,94M €231,31M €233,46M €169,12M €255,25M €178,67M €114,86M €127,62M €127,62M €153,15M €153,15M €216,96M €108,17M €108,17M €90,77M €156,67M
RPS Revenue Per Share €5,12 €4,71 €5,06 €6,13 €3,86 €2,90 €3,30 €3,11 €2,90 €2,57 €2,42 €2,27 €2,70 €3,39 €2,76 €2,65 €2,64 €2,98 €3,02 €3,04
Revenue Revenue €6,57B €6,04B €6,49B €7,86B €4,96B €3,73B €4,27B €4,04B €3,70B €3,28B €3,09B €2,90B €3,45B €4,33B €3,52B €3,38B €2,20B €2,48B €2,49B €2,51B
OCF Operating Cash Flow €979,00M €1,08B €680,30M €1,08B €950,47M €821,51M €724,65M €777,90M €659,89M €605,81M €487,50M €330,23M €472,68M €378,57M €183,02M €320,03M €237,76M €258,43M €0,00M €77,74M
FCF Free Cash Flow €99,00M €252,96M €-394,53M €185,49M €192,70M €136,36M €200,67M €330,90M €302,60M €335,83M €219,94M €73,31M €121,14M €38,82M €-310,23M €-191,53M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 8,06% 8,57% 6,85% 5,50% 8,83% 11,12% 10,95% 13,70% 12,24% 14,23% 14,21% 7,70% 7,99% 6,96% 8,35% 9,83% 10,65% 9,37% 8,22% 5,67%
GM % Gross Margin % 32,53% 32,96% 29,07% 20,70% 31,16% 35,59% 30,73% 31,34% 31,75% 35,25% 34,26% 27,85% 22,77% 18,44% 22,07% 25,60% 24,88% 19,24% 19,19% 17,96%
FCFS Free Cash Flow Per Share €0,12 €0,20 €-0,15 €0,14 €0,15 €0,11 €0,15 €0,26 €0,24 €0,26 €0,24 €0,06 €0,10 €0,03 €-0,24 €-0,15 €-0,07 €-0,09 €-0,10 €-0,15
LT Debt Long-Term Debt €4,49B €4,41B €4,00B €4,22B €3,52B €3,80B €3,14B €3,01B €3,02B €2,97B €2,70B €2,21B €1,84B €2,18B €2,05B €1,83B €1,34B €956,98M €1,00B €976,27M
Sha. Stocks 1.283,08M 1.283,08M 1.283,08M 1.283,08M 1.283,08M 1.285,06M 1.296,98M 1.300,93M 1.276,23M 1.276,23M 1.276,23M 1.276,23M 1.276,23M 1.276,23M 1.276,23M 1.276,23M 832,04M 832,04M 825,14M 824,58M
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