Titan Cement International financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
1.14€B 1.34€B 1.57€B 1.50€B 1.58€B 1.36€B 1.35€B 1.09€B 1.13€B 1.13€B 1.16€B 1.40€B 1.51€B 1.51€B 1.49€B 1.61€B 1.61€B 1.71€B 2.28€B 0.00€M 0.00€M
GM % Gross Margin %
36.44% 36.46% 38.92% 37.29% 33.60% 33.50% 33.17% 31.70% 26.44% 24.97% 25.42% 25.64% 28.95% 28.71% 19.34% 18.40% 19.31% 18.13% 17.26% 0.00% 0.00%
OM Operating Margin
22.30% 23.68% 25.81% 22.02% 16.81% 14.85% 11.87% 8.28% 5.22% 4.99% 5.49% 7.17% 10.89% 10.90% 9.89% 8.28% 9.11% 7.74% 7.85% 0.00% 0.00%
EPS Earnings Per Share
2.50€ 3.06€ 2.84€ 2.53€ 1.51€ 1.25€ 0.27€ -0.30€ -0.44€ 0.39€ 0.63€ 1.68€ 0.56€ 0.67€ 0.64€ 0.62€ 1.19€ 1.77€ 2.72€ 0.00€
Div. Dividends
0.52€ 0.60€ 0.75€ 0.75€ 0.42€ 0.18€ 0.08€ 0.00€ 0.00€ 0.10€ 0.15€ 0.30€ 0.10€ 0.55€ 0.15€ 0.25€ 0.40€ 0.50€ 0.52€ 0.66€ 0.00€
PR % Payout Ratio %
28.73% 24.00% 24.51% 26.41% 16.60% 11.92% 6.40% 0.00% -0.00% -22.73% 38.46% 47.62% 5.95% 98.21% 22.39% 39.06% 64.52% 42.02% 29.38% 24.26% 0
Sha. Shares
83.93m 84.13m 84.33m 84.13m 82.74m 81.4m 81.45m 81.49m 81.51m 81.56m 81.7m 81.85m 80.68m 80.47m 80.08m 82.45m 76.89m 76.89m 75.53m 0m 0m
OCF Operating Cash Flow
350.62€M 293.81€M 353.19€M 323.64€M 369.76€M 374.25€M 279.52€M 203.56€M 165.03€M 164.05€M 153.33€M 219.51€M 269.22€M 226.09€M 261.28€M 274.36€M 299.43€M 218.59€M 243.97€M 0.00€M 0.00€M
FCF Free Cash Flow
201.06€M 148.16€M 193.05€M 71.24€M 162.10€M 208.14€M 195.00€M 147.41€M 120.27€M 122.13€M 73.20€M 46.93€M 118.66€M 106.14€M 81.15€M 165.05€M 215.13€M 93.18€M 18.80€M 68.75€M 0.00€M
FCFS Free Cash Flow Per Share
2.40€ 1.76€ 2.29€ 0.85€ 1.95€ 2.38€ 2.43€ 1.89€ 1.44€ 1.42€ 0.87€ 0.59€ 1.46€ 1.29€ 1.78€ 2.18€ 2.98€ 1.49€ 0.47€ 0.00€ 0.00€