Eiffage
Eiffage
-0,44 %
90,40 EUR
-0,40
Kurs
90,40
Hög
91,30
Förändring
-0,44 %
Låg
90,10
Uppdaterad
2019-07-19
Öppen
91,18
Factsheet for Eiffage
Company Profile
Description
Eiffage SA focuses on construction, property development, civil engineering, and energy projects. It constructs complex structures and renovates projects to customers' general and legal requirements. A wide range of experience allows the company to provide integrated offerings, finance different deals, design, and build numerous structures. Eiffage reports four business activities: construction, infrastructures, energy, and concessions. It supports public and private sector clients, from planning to asset maintenance. The company has the capability to design and construct onshore and offshore infrastructures, and can roll out multitechnical solutions throughout the industrial sector. France accounts for the majority of total revenue.
Key Stats
Website: http://www.eiffage.com
Headquarter country: France
Employees: 67 428
Market Cap (at close 19-07-2019): EUR 9B
Fiscal Year Ends: december
Stats

Stats 2018 2017 2016 2015 2014
Price/Earnings 12,10 16,90 17,10 19,10 14,00
Forward Price/Earnings 10,00 15,10 14,50 13,00 10,70
Price/Free Cash Flow 9,30 17,20 7,80 7,00 7,10
Return on Assets 2,10 1,80 1,60 1,10 1,00
Return on Equity 13,90 13,80 13,90 10,20 9,80
Return on Invested Capital 4,50 4,60 4,70 3,70 4,00
Dividend


Dividend/Share:2,00
Ex. Dividend Date:2018-12-31
Trailing Dividend Yield:2,65
Payout Ratio:31,20
Date Currency Amount
Income Statement

Revenue 2018 2017 2016 2015 2014
Total Revenue 16 890,00 15 263,00 14 599,00 14 510,00 14 301,00
Gross Profit 13,85 12,54 12,12 11,78 11,79
Gross Margin % 81,98% 82,16% 82,99% 81,17% 82,43%
Operating Expenses 2018 2017 2016 2015 2014
EBITDA 2 669,00 2 509,00 2 319,00 2 159,00 2 154,00
Net income 629,00 545,00 475,00 312,00 275,00
Basic Earnings Per Share 6,49 5,73 5,13 3,42 3,10
Operating Income 1,90 1,78 1,83 1,81 1,66
Operating Margin % 11,26% 11,68% 12,54% 12,50% 11,59%
Cash Flow

Cash Flow 2018 2017 2016 2015 2014
Operating Cash Flow 1 599,00 1 334,00 1 167,00 1 230,00 1 095,00
Capital Expenditures -695,00 -595,00 -525,00 -479,00 -407,00
Free Cash Flow 904,00 739,00 642,00 751,00 688,00
Balance Sheet

Assets 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Current Assets 11 550,00 11 833,00 10 863,00 9 480,00 10 200,00 8 403,00
Long Term Assets 18 818,00 18 287,00 18 640,00 18 634,00 18 668,00 18 973,00
Total Assets 30 368,00 30 120,00 29 503,00 28 114,00 28 868,00 27 376,00
Liabilities 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Total Current Liabilities 11 648,00 11 279,00 10 872,00 10 009,00 9 998,00 9 763,00
Long Term Liabilities 14 989,00 14 908,00
Total Liabilities 25 861,00 24 917,00
Equity 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31
Retained Earnings 4 496,00 4 052,00 3 487,00 3 101,00 2 892,00 2 686,00
Treasury Stock
Total Stockholder Equity 4 756,00 4 285,00 3 642,00 3 197,00 2 902,00 2 704,00
Net Tangible Assets -9 649,00 -10 073,00 -10 886,00 -11 580,00 -12 215,00 -12 732,00