Veolia Environnement (VIE)

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VIEEuronext Paris
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Financial charts

Revenue

Free cash flow

No reported data

Total cash / debt

CashTotal debt

Financial statements

7 annual periodsNewest to oldest
2025202420232022202120202019
Revenue€44.40B€44.69B€45.35B€42.88B€28.51B€26.01B€27.19B
Gross profit€7.87B€7.77B€7.50B€7.14B€4.60B€3.89B€4.36B
Gross margin17.73%17.38%16.54%16.66%16.14%14.95%16.04%
Operating expenses€4.38B€4.89B€4.78B€4.94B€3.28B€2.97B€2.90B
Operating income€3.50B€2.88B€2.72B€2.21B€1.32B€919.5M€1.46B
Operating margin7.88%6.45%6.01%5.14%4.62%3.54%5.39%
EBITDA€6.28B€6.02B€5.74B€5.34B
EBITDA margin14.14%13.47%12.65%12.46%
Net income€1.22B€1.45B€1.33B€998.0M€554.9M€208.5M€760.6M
Net profit margin2.74%3.23%2.94%2.33%1.95%0.80%2.80%
Basic EPSper basic share€1.55€1.45€1.24€1.04€0.68€0.16€1.12
Diluted EPSper diluted share€1.54€1.40€1.19€1.00€0.65€0.15€1.07

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