Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.
Financials
| Year | Year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| EPS | Earnings Per Share | €1,23 | €1,25 | €0,48 | €0,24 | €0,88 | €0,88 | €0,42 | €0,30 | €0,46 | €0,49 | €0,48 | €0,20 |
| Earnings | Earnings | €320,14M | €324,00M | €125,04M | €62,15M | €227,67M | €222,75M | €104,45M | €74,36M | €113,72M | €121,13M | €118,59M | €48,95M |
| RPS | Revenue Per Share | €47,43 | €40,79 | €38,94 | €39,95 | €40,02 | €31,53 | €26,07 | €21,74 | €18,16 | €14,72 | €11,97 | €9,05 |
| Revenue | Revenue | €12,35B | €10,57B | €10,14B | €10,34B | €10,35B | €7,98B | €6,48B | €5,39B | €4,49B | €3,64B | €2,96B | €2,21B |
| OCF | Operating Cash Flow | €740,01M | €654,10M | €949,50M | €459,90M | €616,20M | €527,40M | €327,20M | €212,80M | €193,70M | €275,80M | €119,40M | €174,80M |
| FCF | Free Cash Flow | €378,33M | €379,40M | €168,70M | €-18,80M | €283,20M | €284,50M | €20,70M | €-65,60M | €-50,20M | €94,10M | €59,40M | €123,80M |
| OM | Operating Margin | 3,14% | 3,71% | 2,20% | 0,78% | 4,10% | 4,60% | 2,76% | 2,21% | 4,18% | 5,40% | 3,03% | 2,80% |
| GM % | Gross Margin % | 39,88% | 40,69% | 38,75% | 39,20% | 41,78% | 42,52% | 42,71% | 42,33% | 43,65% | 44,23% | 45,10% | 43,30% |
| FCFS | Free Cash Flow Per Share | €0,00 | €1,73 | €2,64 | €0,42 | €1,10 | €1,11 | €0,08 | €-0,27 | €-0,20 | €0,38 | €0,24 | €0,55 |
| LT Debt | Long-Term Debt | €481,20M | €469,80M | €939,40M | €916,90M | €895,00M | €873,70M | €2,70M | €5,60M | €8,40M | €11,20M | €14,40M | €17,60M |
| Sha. | Stocks | 260,28M | 259,2M | 260,5M | 258,97M | 258,72M | 253,13M | 248,68M | 247,87M | 247,21M | 247,21M | 247,06M | 244,76M |























