Publicis Groupe
ENXTPA:PUB
70,34
€-0,18 (-0,26%)
70,34
€-0,18 (-0,26%)
End-of-day quote: 03/23/2026

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

€7,48
Earnings Per Share
€57,99
Revenue Per Share
44,88%
Gross Margin %
€17,58 B
Market Cap
€1,84 B
Long-Term Debt
Earnings Per Share
€7,48
Revenue Per Share
€57,99
Gross Margin %
44,88%
Market Cap
€17,58 B
Long-Term Debt
€1,84 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 €7,48 €7,30 €6,96 €6,35 €5,02 €4,27 €5,02 €4,61 €4,50 €4,46 €4,39 €3,64 €3,53 €3,47 €2,44 €2,19 €2,19 €2,05 €2,03 €1,85
Earnings Earnings €1,88B €1,83B €1,74B €1,60B €1,25B €1,02B €1,19B €1,07B €1,02B €1,01B €971,59M €776,45M €729,26M €691,22M €453,84M €399,39M €409,90M €366,64M €372,71M €339,66M
RPS Revenue Per Share €57,99 €55,70 €52,28 €49,89 €42,02 €40,49 €41,36 €43,03 €42,82 €43,19 €43,38 €34,01 €33,66 €33,18 €31,27 €29,71 €24,17 €26,30 €25,44 €23,89
Revenue Revenue €14,55B €13,97B €13,10B €12,57B €10,49B €9,71B €9,80B €9,95B €9,69B €9,73B €9,60B €7,26B €6,95B €6,61B €5,82B €5,42B €4,52B €4,70B €4,67B €4,39B
OCF Operating Cash Flow €2,37B €2,30B €2,05B €2,42B €1,79B €2,97B €2,34B €1,94B €1,49B €1,07B €1,41B €1,03B €1,38B €1,03B €889,00M €1,01B €647,00M €715,00M €798,00M €593,00M
FCF Free Cash Flow €2,03B €2,06B €1,69B €2,22B €1,65B €2,24B €1,65B €1,74B €1,35B €899,00M €1,17B €898,00M €1,25B €759,00M €773,00M €908,00M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 14,00% 15,10% 14,90% 14,52% 13,95% 12,92% 14,87% 15,59% 16,55% 15,42% 15,70% 16,44% 16,80% 15,26% 15,18% 15,04% 14,37% 16,07% 16,04% 15,75%
GM % Gross Margin % 44,88% 43,31% 43,23% 42,74% 43,89% 43,76% 45,78% 43,22% 37,15% 38,41% 38,77% 38,75% 38,76% 38,18% 37,67% 38,11% 37,84% 39,37% 39,43% 40,04%
FCFS Free Cash Flow Per Share €10,72 €8,23 €7,45 €8,84 €6,65 €11,67 €9,01 €7,57 €6,14 €4,02 €5,27 €4,01 €5,81 €4,52 €3,82 €4,49 €2,83 €3,08 €3,42 €2,44
LT Debt Long-Term Debt €3,08B €1,84B €2,46B €2,99B €3,45B €3,65B €4,29B €2,43B €2,69B €2,93B €2,99B €1,54B €460,00M €649,00M €1,38B €1,70B €1,72B €1,25B €1,22B €1,83B
Sha. Stocks 250,87M 250,74M 250,57M 251,99M 249,6M 239,84M 236,96M 231,24M 226,3M 225,37M 221,32M 213,31M 206,59M 199,2M 186M 182,37M 187,17M 178,85M 183,6M 183,6M
×