Construcciones y Auxiliar de Ferrocarriles, S.A. Logo

Construcciones y Auxiliar de Ferrocarriles, S.A. (CAF)

BME

Currency in EUR
66.90
-0.50 (-0.74%)

Closed

Aug 24, 2026

Day's Range

66.90
68.40

52 wk Range

49.45
71.80

Financial Statements - CAF - Construcciones y Auxiliar de Ferrocarriles, S.A.

Revenue

4.48B 6.5%

Net Income

151.36M 40.6%Net Margin 3.4%

EBITDA

351.38M 12.5%

Free Cash Flow

70.29M 28.8%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales4.48B4.21B3.82B3.16B2.94B2.76B
Cost of Goods3.40B3.26B3.01B2.46B2.38B2.30B
Gross Profit1.07B944.78M813.98M699.95M553.58M462.16M
ExpandOperating Expense
------
Operating Income241.40M214.45M181.16M136.78M167.66M111.99M
ExpandNon-Operating Interest
------
Other Income Expense------
Pre Tax Income215.63M160.63M140.65M91.11M129.83M49.07M
Income Tax64.27M52.98M48.34M36.25M41.06M38.82M
Net Income151.36M107.64M92.31M54.86M88.77M10.25M
EPS Basic4.273.022.61.522.510.26
EPS Diluted4.273.022.61.522.510.26
Basic Shares Outstanding34.23M34.23M34.23M34.24M34.28M34.66M
Diluted Shares Outstanding34.23M34.23M34.23M34.24M34.28M34.66M
Ebit247.51M202.97M184.44M153.66M172.75M96.71M
Ebitda351.38M312.28M289.89M246.04M262.51M177.32M
Net Income Continuous Operations215.63M160.63M140.65M91.11M129.83M49.07M
Minority Interests-5.10M-4.39M-3.15M-2.67M-2.85M-1.24M
Preferred Stock Dividends000000

The information on this page is provided for general informational purposes only and is not investment advice.

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