Acerinox
BME:ACX
12,39
€-0,14 (-1,12%)
12,39
€-0,14 (-1,12%)
End-of-day quote: 03/26/2026

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

€-0,16
Earnings Per Share
€23,18
Revenue Per Share
33,82%
Gross Margin %
€3,09 B
Market Cap
€1,32 B
Long-Term Debt
Earnings Per Share
€-0,16
Revenue Per Share
€23,18
Gross Margin %
33,82%
Market Cap
€3,09 B
Long-Term Debt
€1,32 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €-0,16 €0,90 €1,29 €2,70 €2,11 €0,34 €0,65 €0,86 €0,85 €0,30 €0,17 €0,61 €0,09 €-0,07 €0,30 €0,49 €-0,92 €0,46 €1,20 €1,94
Earnings Earnings €-39,89M €224,38M €321,51M €673,19M €568,94M €91,95M €175,79M €237,10M €234,66M €82,82M €45,34M €159,64M €23,14M €-17,45M €74,79M €122,16M €-229,36M €114,86M €311,02M €503,43M
RPS Revenue Per Share €0,00 €23,18 €21,71 €26,51 €34,85 €24,87 €17,26 €17,58 €18,17 €16,76 €14,37 €15,83 €16,74 €15,42 €18,27 €18,74 €18,05 €12,01 €20,23 €26,63 €21,72
Revenue Revenue €0,00M €5,78B €5,41B €6,61B €8,69B €6,71B €4,67B €4,75B €5,01B €4,63B €3,97B €4,22B €4,38B €3,97B €4,55B €4,67B €4,50B €2,99B €5,05B €6,90B €5,64B
OCF Operating Cash Flow €0,00M €444,80M €294,00M €481,00M €544,08M €387,81M €420,55M €358,72M €326,40M €365,85M €268,79M €17,42M €49,89M €259,28M €565,46M €438,08M €355,54M €188,59M €495,95M €619,10M €-195,78M
FCF Free Cash Flow €0,00M €216,70M €-662,00M €231,00M €410,04M €288,36M €320,84M €214,01M €181,15M €181,05M €106,70M €-51,44M €-28,01M €94,77M €412,64M €260,64M €131,29M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 0,00% 2,69% 3,78% 8,34% 12,38% 12,04% 4,76% 4,12% 6,16% 6,78% 3,84% 2,74% 6,58% 2,16% 1,04% 3,94% 4,67% -10,54% 0,78% 7,56% 15,11%
GM % Gross Margin % 0,00% 33,82% 32,87% 31,66% 34,23% 35,16% 30,87% 28,53% 28,51% 30,81% 30,50% 27,51% 29,09% 26,74% 24,86% 23,94% 25,63% 16,25% 18,29% 20,28% 31,63%
FCFS Free Cash Flow Per Share €0,00 €0,58 €0,36 €1,23 €1,58 €1,06 €1,18 €0,78 €0,65 €0,65 €0,39 €-0,20 €-0,11 €0,37 €1,71 €1,03 €0,53 €-0,17 €0,65 €1,58 €-1,43
LT Debt Long-Term Debt N/A €1,32B €1,46B €1,29B €1,39B €1,37B €1,42B €1,06B €1,03B €939,33M €939,14M €743,22M €1,02B €752,92M €895,40M €707,20M €724,74M €543,18M €615,76M €404,66M €190,77M
Sha. Stocks 249,33M 249,33M 249,31M 249,23M 249,33M 269,64M 270,45M 270,45M 275,7M 276,07M 276,07M 266,71M 261,7M 257,15M 249,3M 249,3M 249,3M 249,3M 249,69M 259,18M 259,5M
×