Quick Analysis
Financials
| Year | Year | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| EPS | Earnings Per Share | €19,31 | €15,13 | €11,66 | €10,21 | €7,32 | €10,65 | €9,95 | €7,95 | €9,71 | €9,54 | €8,17 | €7,43 | €7,12 | €5,02 | €6,21 |
| Earnings | Earnings | €2,33B | €1,82B | €1,41B | €1,23B | €882,79M | €1,28B | €1,20B | €958,77M | €1,17B | €1,15B | €985,30M | €896,06M | €858,67M | €605,41M | €748,93M |
| RPS | Revenue Per Share | €218,73 | €202,79 | €275,92 | €230,20 | €205,35 | €187,38 | €159,01 | €147,52 | €135,60 | €141,53 | €119,09 | €115,78 | €114,21 | €100,30 | €94,77 |
| Revenue | Revenue | €26,38B | €24,46B | €33,28B | €27,76B | €24,77B | €22,60B | €19,18B | €17,79B | €16,35B | €17,07B | €14,36B | €13,96B | €13,77B | €12,10B | €11,43B |
| OCF | Operating Cash Flow | €5,68B | €5,79B | €0,00M | €4,94B | €0,00M | €0,00M | €0,00M | €0,00M | €0,00M | €0,00M | €0,00M | €2,23B | €0,00M | €0,00M | €1,68B |
| FCF | Free Cash Flow | €899,00M | €1,40B | €244,00M | €182,00M | €3,02B | €0,00M | €0,00M | €0,00M | €2,13B | €2,65B | €0,00M | €0,00M | €0,00M | €0,00M | €1,68B |
| OM | Operating Margin | 9,69% | 9,05% | 4,57% | 7,47% | 5,19% | 8,76% | 8,93% | 8,76% | 11,17% | 11,14% | 10,89% | 10,26% | 11,45% | 7,49% | 10,15% |
| GM % | Gross Margin % | 11,71% | 11,37% | 6,14% | 7,16% | 4,80% | 8,56% | 9,61% | 9,19% | 11,97% | 11,99% | 12,14% | 11,48% | 13,06% | 9,05% | 13,24% |
| FCFS | Free Cash Flow Per Share | €47,11 | €47,97 | €41,02 | €40,97 | €25,03 | €20,81 | €18,45 | €14,05 | €19,33 | €25,75 | €16,01 | €18,45 | €21,87 | €20,92 | €13,94 |
| LT Debt | Long-Term Debt | €3,83B | €4,77B | €5,40B | €4,24B | €3,35B | €3,34B | €2,48B | €1,66B | €1,70B | €1,76B | €2,26B | €2,47B | €2,40B | €1,84B | €1,92B |
| Sha. | Stocks | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M | 120,6M |




































