Industria de Diseño Textil

ITX · BME · EUR

€53.24Change from previous close: +0.34%Absolute change: +€0.18

Close · October 2, 2026

At a glance

Revenue growth
+3.19%
FY to Jan 2026 vs FY to Jan 2025
Net income growth
+6.03%
FY to Jan 2026 vs FY to Jan 2025
Net margin
15.6%
FY to Jan 2025: 15.2%

Financial data

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

Cash flow · Annual
ItemFY to Jan 2026FY to Jan 2025FY to Jan 2024FY to Jan 2023FY to Jan 2022
Operating cash flow9,2329,2888,6676,6746,754
Depreciation and amortization2,9362,8202,7752,6902,748
Capital expenditure-2,193-2,207-1,399-1,027-666
Investing cash flow-3,215-3,288-1,709-3,504-3,253
Financing cash flow-7,075-6,607-5,473-4,614-3,909
Dividends paid-5,235-4,797-3,736-2,895-685
Share repurchases——0.0-61.0-71.0
Debt issued——4.0—27.0
Debt repaid-1,839-1,810-1,734-1,639-1,673
Effect of exchange rates-48.0-18.0-38.0-17.031.0
Net change in cash-1,106-6251,446-1,461-377
Free cash flow7,0397,0817,2685,6476,088
Levered free cash flow5,3425,7365,9894,5785,150