Eiffage

FGR · Euronext Paris · EUR

€100.10Change from previous close: +0.54%Absolute change: +€0.54

Close · October 2, 2026

At a glance

Revenue growth
+8.72%
2025 vs 2024
Net income growth
−1.64%
2025 vs 2024
Net margin
3.9%
2024: 4.3%

Financial data

Amounts in millions of EUR; per-share values in EUR; shares in millions.

Cash flow · Annual
Item20252024202320222021
Operating cash flow3,4693,7103,3242,950—
Depreciation and amortization1,5941,4581,4121,270—
Capital expenditure-1,166-936-868-1,021—
Investing cash flow-1,970-1,515-967-2,314—
Financing cash flow-1,675-1,068-2,152-737—
Dividends paid-869-967-805-752—
Share repurchases-151-462-334-335—
Debt issued1,8931,4001,0431,358—
Debt repaid-2,401-830-1,684-852—
Effect of exchange rates1.0-3.09.0-2.0—
Net change in cash-1761,127205-101—
Free cash flow2,3032,7742,4561,929—