Quick Analysis
Financials
| Year | Year | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| EPS | Earnings Per Share | €0,29 | €0,28 | €1,15 | €1,35 | €-0,24 | €-0,04 | €0,59 | €0,88 | €0,93 | €0,75 | €-0,48 | €-0,46 | €0,01 | €1,26 | €1,70 |
| Earnings | Earnings | €10,79M | €10,42M | €42,80M | €50,25M | €-8,93M | €-1,49M | €21,96M | €32,16M | €33,98M | €27,41M | €-17,54M | €-14,06M | €0,31M | €38,52M | €51,97M |
| RPS | Revenue Per Share | €37,30 | €36,33 | €42,34 | €31,93 | €23,46 | €28,89 | €29,94 | €28,05 | €25,80 | €26,90 | €28,97 | €39,73 | €40,20 | €39,56 | €34,67 |
| Revenue | Revenue | €1,39B | €1,35B | €1,58B | €1,19B | €873,03M | €1,08B | €1,11B | €1,03B | €942,70M | €982,90M | €1,06B | €1,21B | €1,23B | €1,21B | €1,06B |
| OCF | Operating Cash Flow | €70,24M | €119,07M | €37,98M | €37,42M | €60,15M | €95,86M | €23,32M | €46,19M | €75,50M | €56,43M | €-0,40M | €88,94M | €84,66M | €-11,81M | €52,14M |
| FCF | Free Cash Flow | €15,79M | €49,60M | €-34,48M | €-11,14M | €22,03M | €20,78M | €-46,38M | €-11,91M | €36,70M | €28,40M | €-10,50M | €72,77M | €50,90M | €-53,49M | €19,30M |
| OM | Operating Margin | 2,33% | 2,15% | 4,47% | 6,23% | -0,04% | 0,99% | 3,40% | 5,78% | 7,03% | 4,70% | 0,43% | 0,43% | 1,93% | 5,41% | 7,51% |
| GM % | Gross Margin % | 22,58% | 21,58% | 20,71% | 25,68% | 23,19% | 20,15% | 21,35% | 25,31% | 28,82% | 23,98% | 15,98% | 14,03% | 15,96% | 19,75% | 23,80% |
| FCFS | Free Cash Flow Per Share | €1,80 | €1,65 | €-0,86 | €-0,31 | €0,59 | €0,56 | €-1,30 | €-0,31 | €0,97 | €0,65 | €-0,62 | €2,38 | €1,66 | €-1,80 | €0,53 |
| LT Debt | Long-Term Debt | €63,19M | €80,47M | €63,78M | €87,62M | €43,01M | €69,25M | €79,43M | €68,35M | €62,04M | €78,25M | €156,05M | €168,23M | €133,65M | €226,92M | €120,02M |
| Sha. | Stocks | 37,22M | 37,22M | 37,22M | 37,22M | 37,22M | 37,22M | 37,22M | 36,54M | 36,54M | 36,54M | 36,54M | 30,57M | 30,57M | 30,57M | 30,57M |
































