Redeia Corporación
BME:RED
15,22
+ €0,17 (1,13%)
15,22
+€0,17 (1,13%)
End-of-day quote: 04/09/2026

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

€0,68
Earnings Per Share
€2,95
Revenue Per Share
98,52%
Gross Margin %
€8,14 B
Market Cap
€5,14 B
Long-Term Debt
Earnings Per Share
€0,68
Revenue Per Share
€2,95
Gross Margin %
98,52%
Market Cap
€8,14 B
Long-Term Debt
€5,14 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 €0,68 €0,68 €1,28 €1,23 €1,26 €1,15 €1,33 €1,31 €1,24 €1,18 €1,12 €1,03 €0,98 €1,00 €0,87 €0,77 €0,61 €0,53 €0,45 €0,37
Earnings Earnings €367,83M €367,48M €691,16M €663,68M €679,49M €619,85M €716,95M €707,24M €668,94M €636,15M €604,05M €556,70M €530,11M €539,42M €467,83M €414,58M €329,22M €285,39M €242,96M €197,77M
RPS Revenue Per Share €0,00 €2,95 €2,95 €3,82 €3,73 €3,62 €3,68 €3,72 €3,61 €3,60 €3,58 €3,60 €3,42 €3,25 €3,25 €3,04 €2,60 €2,22 €2,09 €1,91 €1,78
Revenue Revenue €0,00M €1,59B €1,59B €2,06B €2,02B €1,95B €1,99B €2,01B €1,95B €1,94B €1,93B €1,94B €1,85B €1,76B €1,76B €1,64B €1,40B €1,20B €1,13B €1,03B €949,26M
OCF Operating Cash Flow €0,00M €955,63M €955,63M €491,91M €1,57B €1,61B €1,38B €1,05B €1,10B €1,15B €1,01B €1,33B €511,99M €1,19B €798,77M €1,21B €824,68M €670,56M €535,40M €612,47M €601,09M
FCF Free Cash Flow €0,00M €-470,00M €-123,00M €-157,67M €1,03B €1,05B €835,09M €525,89M €643,81M €680,60M €642,78M €867,25M €-592,94M €613,24M €60,56M €273,47M €-1,48B €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 0,00% 0,00% 36,20% 41,76% 43,15% 46,61% 48,53% 50,91% 52,26% 49,96% 49,72% 49,37% 50,62% 49,71% 50,26% 49,60% 48,72% 47,46% 44,54% 43,71% 42,33%
GM % Gross Margin % 0,00% 0,00% 98,52% 97,84% 98,22% 99,07% 98,66% 98,33% 98,12% 96,96% 97,50% 97,56% 96,80% 96,23% 96,08% 97,42% 96,82% 96,12% 94,51% 94,03% 96,17%
FCFS Free Cash Flow Per Share €0,00 €0,00 €-0,26 €-0,86 €1,91 €1,95 €1,55 €0,97 €1,19 €1,26 €1,19 €1,60 €-1,10 €1,14 €0,11 €0,51 €-2,75 €-0,16 €-0,17 €0,15 €0,43
LT Debt Long-Term Debt N/A €5,14B €5,14B €5,17B €5,49B €5,90B €6,48B €5,32B €5,03B €4,70B €5,03B €4,83B €5,04B €4,61B €3,96B €3,83B €3,69B €2,91B €2,81B €2,59B €2,50B
Sha. Stocks 540,41M 540,93M 540,41M 539,97M 539,58M 539,28M 539M 539,06M 539,88M 539,47M 539,11M 539,33M 540,49M 540,93M 539,42M 537,74M 538,41M 539,71M 538,47M 539,9M 534,5M
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