Renault
ENXTPA:RNO
28,29
+ €0,12 (0,43%)
28,29
+€0,12 (0,43%)
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.

€-39,99
Earnings Per Share
€199,84
Revenue Per Share
6,27%
Gross Margin %
€7,73 B
Market Cap
€5,03 B
Long-Term Debt
Earnings Per Share
€-39,99
Revenue Per Share
€199,84
Gross Margin %
6,27%
Market Cap
€7,73 B
Long-Term Debt
€5,03 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 €-39,99 €2,72 €7,99 €6,07 €3,86 €-23,39 €1,52 €14,03 €14,95 €12,46 €10,29 €8,46 €5,34 €6,60 €8,42 €5,27 €-9,96 €3,54 €10,71 €11,43
Earnings Earnings €-11,59B €741,85M €2,17B €1,65B €1,05B €-6,36B €413,12M €3,81B €4,04B €3,39B €2,81B €2,32B €1,46B €1,80B €2,29B €1,44B €-2,60B €908,47M €2,76B €2,95B
RPS Revenue Per Share €199,84 €206,17 €193,01 €171,16 €170,05 €159,95 €204,34 €211,66 €217,73 €188,61 €166,17 €149,96 €150,18 €151,58 €156,58 €142,52 €129,23 €147,26 €157,71 €161,08
Revenue Revenue €57,92B €56,23B €52,38B €46,39B €46,21B €43,47B €55,54B €57,42B €58,77B €51,24B €45,33B €41,06B €40,93B €41,27B €42,63B €38,97B €33,71B €37,79B €40,68B €41,53B
OCF Operating Cash Flow €4,35B €7,16B €4,46B €4,39B €3,69B €5,75B €5,60B €6,29B €5,70B €4,39B €6,02B €3,97B €3,57B €3,88B €3,35B €1,97B €6,04B €-243,00M €4,75B €2,59B
FCF Free Cash Flow €1,28B €2,88B €3,02B €2,12B €1,27B €1,55B €577,00M €1,88B €2,10B €1,29B €3,22B €1,08B €823,00M €1,03B €1,08B €1,67B €0,00M €0,00M €0,00M €0,00M
OM Operating Margin -13,58% 7,42% 7,66% 5,16% 2,71% -0,85% 4,76% 6,27% 6,54% 6,36% 5,16% 3,77% 1,68% 1,19% 2,56% 2,82% -1,17% 0,86% 3,33% 2,76%
GM % Gross Margin % 6,27% 20,78% 20,81% 19,55% 19,02% 16,57% 19,60% 20,93% 20,94% 21,45% 20,37% 18,86% 17,89% 17,39% 18,46% 19,34% 17,15% 18,10% 20,04% 19,85%
FCFS Free Cash Flow Per Share €0,00 €15,09 €5,58 €3,58 €-1,02 €5,69 €2,12 €6,96 €7,27 €4,10 €11,43 €4,65 €3,90 €3,78 €3,30 €0,38 €15,49 €-15,19 €3,98 €-8,26
LT Debt Long-Term Debt €5,03B €5,03B €7,48B €9,41B €11,86B €12,00B €7,31B €6,12B €5,02B €4,93B €5,70B €7,27B €6,84B €6,36B €6,07B €6,83B €8,79B €5,51B €5,14B €5,16B
Sha. Stocks 289,84M 272,74M 271,37M 271,04M 271,76M 271,8M 271,79M 271,28M 269,92M 271,69M 272,77M 273,78M 272,55M 272,26M 272,24M 273,43M 260,87M 256,63M 257,96M 257,81M
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