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Eiffage (FGR.FP)

Eiffage (FGR.FP)
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[[ session ]] by (Cboe BZX)
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[[ session ]] [[ item.lastPriceExt ]] [[ item.priceChangeExt ]] ([[ item.percentChangeExt ]]) [[ item.tradeTimeExt ]]
Financial Summary for [[ item.sessionDateDisplayLong ]]
Eiffage is a leading French infrastructure concessions operator and construction business. It operates four business lines: construction, infrastructure, energy, and concessions. Its concession assets include 2,635 kilometers of toll roads (88% of which belong to APRR and AREA), two airports, and numerous public/private partnerships in France. The concessions segment accounts for 16% of group revenue but generates 66% of group adjusted EBIT. Eiffage's contracting division currently benefits from a record backlog, providing good visibility on sales growth and margin expansion.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Sales 26,119,000 24,041,000 22,389,000 20,884,000 19,208,000
Sales Growth +8.64% +7.38% +7.21% +8.73% +15.29%
Net Income 1,022,000 1,041,000 1,013,000 896,000 777,000
Net Income Growth -1.83% +2.76% +13.06% +15.32% +107.20%
(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Total Assets 40,934,000 40,307,000 37,825,000 36,196,000 33,775,000
Total Assets Growth +1.56% +6.56% +4.50% +7.17% +0.16%
Total Liabilities 32,044,000 32,154,000 29,884,000 28,772,000 26,979,000
Total Liabilities Growth -0.34% +7.60% +3.86% +6.65% -0.99%
(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Operating Cash Flow 3,469,000 3,710,000 3,324,000 2,950,000 2,740,000
Operating Cash Flow Growth -6.50% +11.61% +12.68% +7.66% +24.32%
Net Cash Flow -176,000 1,127,000 205,000 -101,000 -345,000
Change in Net Cash Flow -115.62% +449.76% +302.97% +70.72% -155.65%
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