Construcciones y Aux...
BME:CAF
55,80
€-0,30 (-0,53%)
55,80
€-0,30 (-0,53%)
End-of-day quote: 03/27/2026

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

€3,02
Earnings Per Share
€123,00
Revenue Per Share
45,30%
Gross Margin %
€1,91 B
Market Cap
€0,55 B
Long-Term Debt
Earnings Per Share
€3,02
Revenue Per Share
€123,00
Gross Margin %
45,30%
Market Cap
€1,91 B
Long-Term Debt
€0,55 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 €3,02 €3,02 €2,60 €1,52 €2,51 €0,26 €1,81 €1,27 €1,24 €1,02 €1,20 €1,74 €2,63 €2,90 €3,92 €3,78 €3,63 €3,09 €2,56 €1,01
Earnings Earnings €103,44M €103,40M €89,02M €52,03M €86,04M €8,91M €62,05M €43,54M €42,51M €34,97M €41,14M €59,65M €90,16M €99,41M €134,38M €129,58M €124,44M €105,93M €87,76M €34,62M
RPS Revenue Per Share €0,00 €122,96 €123,00 €111,71 €92,48 €85,84 €80,59 €75,78 €59,76 €43,09 €38,45 €37,44 €42,22 €44,79 €50,21 €50,32 €45,98 €36,70 €29,32 €25,51 €23,50
Revenue Revenue €0,00M €4,21B €4,21B €3,83B €3,17B €2,94B €2,76B €2,60B €2,05B €1,48B €1,32B €1,28B €1,45B €1,54B €1,72B €1,73B €1,58B €1,26B €1,00B €874,47M €805,73M
OCF Operating Cash Flow €0,00M €184,83M €184,83M €181,60M €110,97M €153,55M €177,15M €128,78M €389,33M €165,06M €335,42M €95,51M €62,43M €-43,44M €104,97M €67,94M €-23,69M €40,87M €217,33M €66,94M €0,00M
FCF Free Cash Flow €0,00M €36,70M €98,77M €22,74M €33,42M €108,96M €127,85M €56,52M €298,74M €113,80M €308,44M €76,30M €38,13M €-92,92M €-333,62M €23,17M €-88,60M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 0,00% 0,00% 5,08% 4,73% 4,32% 5,66% 4,15% 4,91% 7,53% 10,22% 7,80% 9,89% 7,03% 11,69% 8,28% 12,23% 10,93% 10,59% 10,42% 9,84% 5,32%
GM % Gross Margin % 0,00% 0,00% 45,30% 43,20% 45,38% 46,05% 45,09% 47,52% 50,72% 58,29% 53,00% 56,50% 49,52% 54,00% 52,54% 47,97% 46,65% 54,40% 53,93% 51,28% 46,39%
FCFS Free Cash Flow Per Share €0,00 €0,00 €2,88 €0,79 €0,98 €3,18 €3,69 €1,64 €8,73 €3,33 €8,99 €2,23 €1,11 €-2,71 €1,42 €0,68 €-2,58 €-1,35 €3,61 €-2,10 €-6,13
LT Debt Long-Term Debt N/A €548,86M €548,86M €509,15M €589,70M €675,57M €808,85M €868,07M €766,46M €625,65M €648,15M €662,17M €683,06M €477,93M €480,52M €242,17M €240,57M €187,58M €160,35M €161,23M €96,71M
Sha. Stocks 34,24M 34,25M 34,24M 34,24M 34,23M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M 34,28M
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