Talgo
BME:TLGO
2,68
€-0,05 (-1,83%)
2,68
€-0,05 (-1,83%)
End-of-day quote: 03/30/2026

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

€0,09
Earnings Per Share
€5,45
Revenue Per Share
50,79%
Gross Margin %
€0,36 B
Market Cap
€0,35 B
Long-Term Debt
Earnings Per Share
€0,09
Revenue Per Share
€5,45
Gross Margin %
50,79%
Market Cap
€0,36 B
Long-Term Debt
€0,35 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
EPS Earnings Per Share €0,09 €0,13 €0,01 €0,23 €-0,06 €0,31 €0,19 €0,31 €0,48 €0,68
Earnings Earnings €11,06M €16,01M €1,23M €28,26M €-7,38M €38,85M €25,80M €42,33M €65,68M €93,04M
RPS Revenue Per Share €5,45 €5,30 €3,83 €4,52 €3,96 €3,21 €2,39 €2,82 €4,24 €3,81
Revenue Revenue €669,20M €652,00M €469,12M €555,41M €487,10M €401,70M €324,45M €384,38M €579,77M €520,70M
OCF Operating Cash Flow €-110,80M €-81,90M €-12,30M €29,65M €-85,56M €46,37M €151,64M €184,90M €-57,79M €-20,41M
FCF Free Cash Flow €-159,40M €-63,90M €-32,20M €4,50M €-110,26M €23,10M €142,10M €173,40M €-59,76M €-30,68M
OM Operating Margin -10,62% 9,01% 5,63% 7,44% -0,65% 12,57% 10,13% 15,36% 15,05% 15,28%
GM % Gross Margin % 50,79% 53,91% 55,64% 44,92% 39,32% 62,25% 75,26% 62,70% 44,08% 50,56%
FCFS Free Cash Flow Per Share €-1,30 €-1,14 €-0,39 €0,04 €-0,89 €0,21 €1,04 €1,27 €-0,49 €-0,30
LT Debt Long-Term Debt €376,38M €336,57M €261,56M €273,99M €261,57M €213,89M €284,09M €270,33M €227,26M €148,00M
Sha. Stocks 122,9M 123,12M 122,51M 122,89M 122,92M 125,33M 135,77M 136,54M 136,83M 136,83M
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