ArcelorMittal
ENXTAM:MT
43,51
€-2,58 (-5,60%)
43,51
€-2,58 (-5,60%)
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.

€3,28
Earnings Per Share
€68,65
Revenue Per Share
9,63%
Gross Margin %
€35,08 B
Market Cap
€9,09 B
Long-Term Debt
Earnings Per Share
€3,28
Revenue Per Share
€68,65
Gross Margin %
9,63%
Market Cap
€35,08 B
Long-Term Debt
€9,09 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €3,28 €2,85 €5,78 €11,39 €13,41 €-0,77 €0,30 €5,95 €4,64 €1,44 €-2,92 €0,52 €-2,61 €3,67 €3,99 €5,76 €4,50 €33,63 €23,13 €17,28
Earnings Earnings €2,50B €2,19B €4,74B €9,17B €12,22B €-832,16M €303,62M €6,03B €4,73B €1,47B €-1,61B €286,76M €-1,44B €1,90B €2,06B €2,97B €2,26B €15,31B €10,96B €24,06B
RPS Revenue Per Share €68,65 €78,47 €83,34 €99,14 €84,06 €49,29 €69,77 €75,02 €67,34 €55,70 €115,12 €143,77 €144,12 €163,09 €182,01 €151,11 €129,40 €274,39 €222,04 €63,62
Revenue Revenue €52,25B €60,31B €68,28B €79,84B €76,57B €53,27B €70,62B €76,03B €68,68B €56,79B €63,58B €79,28B €79,44B €84,21B €93,97B €78,03B €65,11B €124,94B €105,22B €88,58B
OCF Operating Cash Flow €4,04B €4,69B €7,65B €10,20B €9,91B €4,08B €6,02B €4,20B €4,56B €2,71B €2,15B €3,87B €4,30B €5,29B €1,78B €4,02B €7,28B €14,65B €16,53B €7,12B
FCF Free Cash Flow €621,87M €431,76M €2,28B €6,74B €6,90B €1,64B €2,45B €891,00M €1,74B €264,00M €-556,00M €205,00M €844,00M €611,00M €-3,06B €707,00M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 4,83% 5,51% 4,60% 14,60% 21,71% 4,31% 1,27% 9,17% 7,70% 5,46% 0,32% 3,45% 2,04% 2,01% 7,05% 6,19% 1,49% 14,05% 15,03% 12,86%
GM % Gross Margin % 9,63% 9,80% 8,46% 17,49% 24,87% 8,72% 5,18% 12,88% 11,66% 10,10% 4,95% 8,01% 6,53% 6,77% 11,16% 11,22% 8,41% 19,06% 20,19% 17,89%
FCFS Free Cash Flow Per Share €0,53 €0,55 €3,60 €7,39 €6,24 €1,44 €2,41 €0,88 €1,71 €0,28 €-0,72 €0,27 €1,42 €1,21 €-5,84 €1,47 €9,49 €20,11 €23,77 €12,71
LT Debt Long-Term Debt €9,09B €7,69B €7,43B €8,24B €5,80B €9,18B €10,61B €8,96B €9,73B €11,33B €16,94B €16,64B €17,52B €21,51B €23,63B €19,29B €20,28B €25,45B €21,82B €21,55B
Sha. Stocks 761,13M 768,55M 819,27M 805,34M 910,89M 1.080,73M 1.012,08M 1.013,57M 1.019,92M 1.019,5M 552,27M 551,46M 551,2M 516,37M 516,32M 516,33M 503,18M 455,33M 473,86M 1.392,31M
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