Palfinger
WBAG:PAL
34,10
+ €0,15 (0,44%)
34,10
+€0,15 (0,44%)
End-of-day quote: 03/24/2026

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

€2,88
Earnings Per Share
€67,87
Revenue Per Share
25,37%
Gross Margin %
€1,28 B
Market Cap
€0,65 B
Long-Term Debt
Earnings Per Share
€2,88
Revenue Per Share
€67,87
Gross Margin %
25,37%
Market Cap
€1,28 B
Long-Term Debt
€0,65 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €2,88 €2,88 €3,10 €2,05 €2,31 €1,32 €2,13 €2,12 €1,78 €1,98 €1,73 €1,05 €1,24 €1,14 €1,18 €0,68 €-0,22 €1,42 €2,09 €1,60
Earnings Earnings €108,26M €100,14M €107,79M €71,28M €86,83M €49,62M €80,07M €79,69M €66,91M €74,43M €64,55M €39,17M €43,90M €40,34M €41,72M €24,07M €-7,79M €50,20M €73,84M €56,46M
RPS Revenue Per Share €0,00 €62,78 €67,87 €70,34 €64,03 €48,99 €40,81 €46,66 €42,98 €39,13 €36,10 €32,96 €28,51 €27,70 €26,43 €23,92 €18,36 €14,28 €22,48 €19,69 €16,58
Revenue Revenue €0,00M €2,36B €2,36B €2,45B €2,23B €1,84B €1,53B €1,75B €1,62B €1,47B €1,36B €1,23B €1,06B €980,70M €935,20M €845,70M €650,00M €505,37M €794,84M €695,62M €585,21M
OCF Operating Cash Flow €0,00M €228,00M €228,00M €186,70M €46,15M €87,40M €224,67M €156,03M €126,50M €91,98M €109,60M €110,62M €47,21M €62,50M €55,40M €37,70M €49,12M €50,04M €32,58M €53,03M €59,48M
FCF Free Cash Flow €0,00M €89,10M €119,50M €65,20M €-29,44M €-42,10M €173,32M €60,39M €27,20M €43,06M €-68,70M €52,93M €-13,64M €31,60M €-3,10M €13,22M €34,54M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 0,00% 0,00% 7,16% 8,11% 6,08% 6,06% 5,84% 7,22% 7,32% 6,87% 7,25% 7,77% 4,90% 6,58% 6,17% 6,84% 5,09% -1,42% 8,93% 13,88% 13,47%
GM % Gross Margin % 0,00% 0,00% 25,37% 25,58% 22,92% 24,19% 24,58% 24,52% 24,91% 24,28% 24,50% 24,23% 23,07% 24,06% 23,29% 47,59% 47,73% 46,16% 44,94% 47,37% 47,31%
FCFS Free Cash Flow Per Share €0,00 €0,00 €2,19 €0,90 €-2,01 €-1,10 €4,24 €1,61 €0,72 €0,26 €0,96 €1,42 €-0,37 €0,68 €0,43 €0,37 €0,85 €1,01 €-0,44 €-0,26 €1,05
LT Debt Long-Term Debt N/A €649,94M €649,94M €564,16M €529,31M €317,36M €409,35M €473,66M €482,54M €492,96M €431,92M €321,41M €317,12M €174,92M €193,74M €80,74M €123,56M €127,42M €33,11M €34,78M €31,57M
Sha. Stocks 34,77M 37,59M 34,77M 34,77M 34,77M 37,59M 37,59M 37,59M 37,59M 37,59M 37,59M 37,31M 37,3M 35,4M 35,39M 35,36M 35,4M 35,4M 35,35M 35,33M 35,29M
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