Eiffage (FGR)

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FGREuronext Paris
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

6 annual periodsNewest to oldest
202520242023202220212020
Revenue€26.13B€24.04B€22.37B€20.87B€19.20B€16.66B
Operating expenses€19.37B€17.69B€16.09B€15.11B
Operating income€2.57B€2.40B€2.35B€2.16B€1.83B€1.21B
Operating margin9.83%10.00%10.51%10.35%9.56%7.28%
EBITDA€4.30B€4.05B€3.76B€3.43B€3.09B€2.41B
EBITDA margin16.44%16.85%16.83%16.45%16.08%14.45%
Net income€1.02B€1.04B€1.53B€1.35B€1.14B€614.0M
Net profit margin3.91%4.32%6.85%6.49%5.96%3.69%
Basic EPSper basic share€10.83€11.07€10.65€9.46€7.73€3.83
Diluted EPSper diluted share€10.70€11.07€10.53€9.36€7.65€3.80

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