Rai Way S.p.A.
BIT:RWAY
5,74
€-0,17 (-2,88%)
5,74
€-0,17 (-2,88%)
End-of-day quote: 03/20/2026

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

€0,33
Earnings Per Share
€1,03
Revenue Per Share
70,42%
Gross Margin %
€1,54 B
Market Cap
€0,10 B
Long-Term Debt
Earnings Per Share
€0,33
Revenue Per Share
€1,03
Gross Margin %
70,42%
Market Cap
€1,54 B
Long-Term Debt
€0,10 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
EPS Earnings Per Share €0,33 €0,32 €0,27 €0,24 €0,24 €0,23 €0,22 €0,21 €0,15 €0,14 €0,12
Earnings Earnings €88,61M €85,88M €72,46M €64,41M €64,41M €62,56M €59,84M €57,12M €40,80M €38,08M €32,64M
RPS Revenue Per Share €1,03 €1,01 €0,91 €0,86 €0,84 €0,81 €0,80 €0,79 €0,79 €0,78 €0,78
Revenue Revenue €276,10M €271,90M €245,40M €229,90M €224,50M €221,40M €217,70M €216,20M €215,20M €212,30M €211,30M
OCF Operating Cash Flow €132,30M €146,90M €137,00M €117,36M €115,99M €111,00M €105,00M €70,60M €92,20M €88,90M €-8,30M
FCF Free Cash Flow €90,35M €112,00M €61,40M €32,40M €59,69M €75,70M €78,00M €55,70M €69,40M €58,80M €62,00M
OM Operating Margin 47,11% 46,12% 42,21% 39,67% 40,01% 39,63% 38,85% 38,13% 33,22% 29,59% 21,67%
GM % Gross Margin % 70,42% 67,85% 65,04% 66,82% 65,27% 63,96% 62,33% 61,31% 60,26% 60,03% 45,92%
FCFS Free Cash Flow Per Share €0,31 €0,33 €0,23 €0,12 €0,21 €0,28 €0,29 €0,20 €0,27 €0,22 €-0,40
LT Debt Long-Term Debt €100,63M €100,39M N/A €69,00M €15,09M €0,26M €0,43M €30,61M €60,70M €90,62M €80,57M
Sha. Stocks 268,5M 268,37M 268,37M 268,37M 268,37M 272M 272M 272M 272M 272M 272M
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