Robertet SA (RBT)

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RBTEuronext Paris
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

6 annual periodsNewest to oldest
202520242023202220212020
Revenue€843.9M€807.6M€721.1M€703.0M€606.1M€538.3M
Operating expenses€356.3M€330.0M€279.1M€268.6M
Operating income€144.0M€125.1M€111.8M€102.1M€93.7M€71.2M
Operating margin17.07%15.49%15.50%14.53%15.47%13.22%
EBITDA€174.2M€149.7M€135.3M€125.3M€115.3M€92.2M
EBITDA margin20.64%18.54%18.76%17.82%19.02%17.13%
Net income€104.1M€90.6M€74.8M€76.7M€71.8M€50.6M
Net profit margin12.34%11.22%10.38%10.90%11.85%9.40%
Basic EPSper basic share€47.29€43.06€35.71€36.41€31.00€21.87
Diluted EPSper diluted share€47.29€43.06€35.71€36.41€31.00€21.87

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