Kingspan Group
ISE:KRX
71,70
+ €1,25 (1,77%)
71,70
+€1,25 (1,77%)
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.

€3,91
Earnings Per Share
€51,22
Revenue Per Share
29,68%
Gross Margin %
€12,88 B
Market Cap
€2,09 B
Long-Term Debt
Earnings Per Share
€3,91
Revenue Per Share
€51,22
Gross Margin %
29,68%
Market Cap
€12,88 B
Long-Term Debt
€2,09 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 €3,91 €3,83 €3,68 €3,42 €3,16 €2,15 €2,13 €1,92 €1,64 €1,47 €1,09 €0,65 €0,54 €0,45 €0,36 €0,29 €0,28 €0,73 €1,09 €0,88
Earnings Earnings €702,24M €700,62M €668,32M €621,11M €573,03M €390,29M €385,27M €345,98M €294,08M €261,78M €192,95M €111,58M €91,82M €75,81M €60,10M €48,29M €46,56M €121,20M €185,68M €148,59M
RPS Revenue Per Share €51,22 €47,06 €44,55 €45,93 €35,83 €25,21 €25,76 €24,26 €20,46 €17,46 €15,67 €11,02 €10,53 €9,67 €9,27 €7,17 €6,77 €10,07 €10,94 €8,65
Revenue Revenue €9,20B €8,61B €8,09B €8,34B €6,50B €4,58B €4,66B €4,37B €3,67B €3,11B €2,77B €1,89B €1,79B €1,63B €1,55B €1,19B €1,13B €1,67B €1,86B €1,46B
OCF Operating Cash Flow €786,00M €894,50M €1,16B €692,00M €329,20M €638,50M €520,40M €438,30M €283,60M €309,60M €336,20M €139,60M €127,72M €143,66M €114,58M €67,03M €199,76M €207,61M €200,05M €171,44M
FCF Free Cash Flow €465,40M €509,40M €811,05M €422,80M €160,40M €506,70M €337,10M €294,10M €198,50M €206,60M €256,90M €94,20M €85,87M €106,60M €76,90M €44,64M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 9,82% 10,07% 10,39% 9,70% 11,31% 10,71% 10,25% 9,75% 9,96% 10,66% 9,03% 7,65% 6,68% 6,42% 5,91% 5,69% 6,16% 7,53% 12,70% 13,25%
GM % Gross Margin % 29,68% 29,58% 28,92% 26,57% 28,57% 30,28% 29,08% 27,78% 28,70% 30,25% 29,10% 27,29% 25,89% 6,61% 27,30% 27,97% 27,45% 27,95% 30,20% 31,25%
FCFS Free Cash Flow Per Share €2,51 €2,90 €5,09 €2,33 €0,88 €2,80 €1,99 €1,64 €1,08 €1,11 €1,46 €0,55 €0,43 €0,65 €0,51 €0,27 €0,91 €0,64 €0,33 €0,67
LT Debt Long-Term Debt €2,09B €2,37B €1,71B €2,09B €1,32B €1,37B €846,00M €963,20M €657,80M €654,90M €469,80M €204,60M €290,70M €316,10M €317,80M €213,67M €201,14M €345,25M €234,39M €205,98M
Sha. Stocks 179,6M 182,93M 181,61M 181,61M 181,34M 181,53M 180,88M 180,2M 179,32M 178,08M 177,02M 171,66M 170,04M 168,46M 166,94M 166,52M 166,27M 166,03M 170,35M 168,85M
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