Groupe Bruxelles Lambert 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
248.50€M 252.50€M 327.90€M 536.30€M 804.70€M 1.08€B 672.40€M 2.95€B 4.25€B 4.46€B 4.74€B 5.46€B 3.98€B 5.22€B 5.59€B 5.78€B 6.60€B 7.67€B 7.91€B 6.75€B 0.00€M
GM % Gross Margin %
100.00% 100.00% 100.00% 100.00% 100.00% 100.00% 100.00% 64.76% 63.19% 67.33% 70.72% 71.95% 61.15% 70.19% 66.92% 67.97% 74.71% 74.77% 72.93% 67.31% 0.00%
OM Operating Margin
92.52% 92.48% 91.28% 95.54% 97.48% 100.00% 98.07% 11.30% 13.78% 23.17% 27.61% 28.88% 0.66% 21.02% 17.45% 19.66% 15.80% 14.15% 3.96% 14.22% 0.00%
EPS Earnings Per Share
3.72€ 4.59€ 4.13€ 5.95€ 4.20€ 4.25€ 4.38€ 3.86€ 2.76€ 5.47€ 3.88€ 2.84€ 3.14€ 2.87€ 3.78€ 2.85€ 3.03€ 2.72€ 2.82€ 0.00€
Div. Dividends
1.58€ 1.70€ 1.89€ 2.09€ 2.28€ 2.42€ 2.54€ 2.60€ 2.65€ 2.72€ 2.79€ 2.86€ 2.93€ 3.00€ 3.07€ 3.15€ 2.50€ 2.75€ 2.75€ 2.75€ 0.00€
PR % Payout Ratio %
38.35% 45.70% 41.18% 50.61% 38.32% 57.62% 59.76% 59.36% 68.65% 98.55% 51.01% 73.71% 103.17% 95.54% 106.97% 83.33% 87.72% 90.76% 101.10% 97.52% 0
Sha. Shares
131.99m 132.17m 133.02m 141.91m 156.1m 155.53m 155.3m 155.26m 148.75m 155.04m 148.81m 155.2m 155.24m 155.6m 158.73m 156.08m 153.18m 149.64m 142.55m 0m 129.77m
OCF Operating Cash Flow
268.60€M 401.30€M 421.80€M 498.80€M 460.60€M 794.60€M 509.20€M 737.80€M 44.10€M 680.20€M 488.30€M 1.22€B 551.10€M 975.30€M 914.30€M 1.06€B 1.23€B 1.04€B 805.40€M 1.12€B 0.00€M
FCF Free Cash Flow
268.20€M 401.00€M 418.60€M 490.00€M 453.50€M 793.90€M 509.10€M 550.50€M -230.30€M 400.70€M 222.40€M 927.10€M 249.90€M 1.12€B 523.70€M 661.30€M 919.80€M 637.30€M 255.40€M 555.80€M 0.00€M
FCFS Free Cash Flow Per Share
2.03€ 3.02€ 2.95€ 3.29€ 2.91€ 5.10€ 3.28€ 3.55€ -1.48€ 2.58€ 1.43€ 5.97€ 1.61€ 3.95€ 3.32€ 4.21€ 5.63€ 3.86€ 1.16€ 3.32€ 0.00€