Eiffage SA is a holding company, which engages in the concessions and public-private partnerships, construction and public works. The company is headquartered in Velizy-Villacoublay, Ile-De-France. The company carries activities through five divisions such as Construction and maintenance of transport and civil engineering infrastructure: roads, highways, bridges, railways, etc. Furthermore, the group produces and markets aggregates, coatings, and binders; Design, construction, and maintenance of electrical, climate and mechanical engineering installations; Construction and renovation of buildings: homes, offices, shopping centers, car parks, stadiums, prisons, hospitals, etc. In addition, The Company is developing a real estate development activity; Construction and management under concession of infrastructure and structures; And Others.
Milyon USD cinsinden finanslar. Mali yıl Şubat - Ocak'tır.
Breakdown
TTM
12/31/2025
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Hasılat
24,907
26,119
24,017
22,369
20,867
19,197
Hasılat Artışı (YoY)
-13%
9%
7%
7%
9%
15%
Satınalma Maliyeti
4,106
4,191
3,942
3,947
3,599
3,191
Brüt Kâr
20,801
21,928
20,075
18,422
17,268
16,006
Satış, Genel ve İdari
6,118
6,347
5,842
5,162
4,808
4,545
Araştırma ve Geliştirme
--
--
--
--
--
--
İşletme Giderleri
18,316
19,325
17,641
16,040
15,073
14,146
Diğer Finansman Gelirleri (Giderleri)
-24
-15
-19
-5
-54
-21
Kâr Öncesi Gelir
2,132
2,278
2,135
2,076
1,846
1,580
Kira Vergisi Gideri
730
811
612
544
491
436
Net Kâr
967
1,022
1,041
1,013
896
753
Net Income Growth
Kâr Artışı
-85%
-2%
3%
13%
19%
101%
Dolaşım Daki Hisse Senetleri (Dilüte Edilmiş)
94.47
94.47
95.16
96.13
95.78
98.44
Hisse Değişimi (Yıllık Üst Üste)
-1%
-1%
-1%
0%
-3%
0%
EPS (Diluted)
10.23
10.81
10.93
10.53
9.35
7.65
EPS Artışı
-85%
-1%
4%
13%
22%
101%
Öz sermaye akışı
2,538
2,303
2,774
2,456
1,929
1,696
Hisse Başı Öz Kaynak Akışı
--
--
--
--
--
--
Brüt Karşılık
83.51%
83.95%
83.58%
82.35%
82.75%
83.37%
Faaliyet Kâr Marjı
9.97%
9.96%
10.13%
10.64%
10.51%
9.68%
Kâr Marjı
3.88%
3.91%
4.33%
4.52%
4.29%
3.92%
Özsermaye Karlılık Oranı
10.18%
8.81%
11.55%
10.97%
9.24%
8.83%
EBITDA
3,994
4,197
3,886
3,788
3,462
3,108
EBITDA Marjinali
16.03%
16.06%
16.18%
16.93%
16.59%
16.19%
D&A EBITDA için
1,509
1,594
1,452
1,406
1,267
1,248
Faaliyet Kârı
2,485
2,603
2,434
2,382
2,195
1,860
Faaliyet Kâr Marjı
9.97%
9.96%
10.13%
10.64%
10.51%
9.68%
Verilen Vergi Oranı
34.24%
35.6%
28.66%
26.2%
26.59%
27.59%
Follow-Up Questions
¿Cuáles son los estados financieros clave de Eiffage SA?
Según el último estado financiero (Form-10K), Eiffage SA tiene un total de activos de $0, una ganancia neta kâr de $1,022
¿Cuáles son los ratios financieros clave para EFGSF?
El ratio corriente de Eiffage SA es 0, el margen neto es 3.91, las ventas por acción son $276.45.
¿Cómo se desglosan los ingresos de Eiffage SA por segmento o geografía?
Eiffage SA en büyük gelir kaynağı Infrastructure olup, en son kar bildiriminde geliri 8,684,000,000 dir. Coğrafi olarak, France , Eiffage SA için ana pazar olup, geliri 17,144,000,000 dir.
¿Es rentable Eiffage SA?
evet, según los últimos estados financieros, Eiffage SA tiene una ganancia neta kâr de $1,022
¿Tiene Eiffage SA alguna deuda?
hayır, Eiffage SA tiene una deuda de 0
¿Cuántas acciones en circulación tiene Eiffage SA?
Eiffage SA tiene un total de acciones en circulación de 0