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Compagnie de Saint-Gobain SA (FR:SGO)
PARIS:SGO

Compagnie de Saint Gobain (SGO) Financial Statements

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Compagnie de Saint Gobain Financial Overview

Compagnie de Saint Gobain's market cap is currently ―. The company's EPS TTM is €5.261; its P/E ratio is 15.47; and it has a dividend yield of 2.47%. Compagnie de Saint Gobain is scheduled to report earnings on July 25, 2024, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 22Dec 21Dec 20Dec 19Dec 18
Income Statement-
Total Revenue€ 51.20B€ 44.16B€ 38.13B€ 42.57B€ 41.77B
Gross Profit€ 13.19B€ 11.72B€ 9.49B€ 10.86B€ 10.62B
EBIT€ 4.39B€ 4.02B€ 1.58B€ 2.78B€ 1.64B
EBITDA€ 6.83B€ 4.02B€ 1.58B€ 2.78B€ 1.64B
Net Income Common Stockholders€ 3.00B€ 2.52B€ 456.00M€ 1.41B€ 397.00M
Balance Sheet-
Cash, Cash Equivalents and Short-Term Investments€ 6.13B€ 6.94B€ 8.44B€ 4.99B€ 2.69B
Total Assets€ 55.38B€ 51.58B€ 48.63B€ 49.98B€ 46.96B
Total Debt€ 14.37B€ 13.92B€ 15.27B€ 15.13B€ 13.52B
Net Debt€ 8.23B€ 6.98B€ 6.83B€ 10.14B€ 10.83B
Total Liabilities€ 32.22B€ 30.46B€ 30.42B€ 30.20B€ 28.94B
Stockholders Equity€ 22.71B€ 20.71B€ 17.89B€ 19.42B€ 17.69B
Cash Flow-
Free Cash Flow€ 3.90B€ 4.44B-€ 3.80B€ 3.21B
Operating Cash Flow€ 5.70B€ 4.44B€ 4.71B€ 3.80B€ 3.21B
Investing Cash Flow€ -4.84B€ -2.20B€ 194.00M€ -1.57B€ -3.38B
Financing Cash Flow€ -1.85B€ -3.79B€ -1.30B€ 59.00M€ -376.00M
Currency in EUR

Compagnie de Saint Gobain Earnings and Revenue History

Compagnie de Saint Gobain Debt to Assets

Compagnie de Saint Gobain Cash Flow

Compagnie de Saint Gobain Forecast EPS vs Actual EPS

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