Revenue: EUR 2,234,500,000; YoY +4.73%; QoQ -8.42%
Gross Profit: EUR 1,973,000,000; YoY +5.00%; QoQ -5.82%
Operating Income: EUR 353,000,000; YoY +132.24%; QoQ -72.40%
Net Income: EUR 270,000,000; YoY N/A; QoQ -80.88%
EPS (Diluted): EUR 0.37; YoY N/A; QoQ -81.03%
EBITDA: EUR 327,500,000; EBITDA margin ~14.66%
Operating Margin: 15.80%
Net Margin: 12.08%
Interest Expense: EUR 69,000,000; Depreciation & Amortization: EUR 112,000,000
Cash Flow Highlights: CFO EUR 185,000,000; CapEx EUR -135,500,000; Free Cash Flow EUR 49,500,000
Balance Sheet Metrics: Cash and cash equivalents EUR 2,835,000,000; Total Assets EUR 26,563,000,000; Total Liabilities EUR 18,909,000,000; Total Equity EUR 5,899,000,000
Leverage & Coverage: Total Debt EUR 10,341,000,000; Net Debt EUR 7,506,000,000; Debt-to-Equity 1.75; Debt-to-Capitalization 0.637; Interest Coverage 5.12x
Liquidity & Efficiency: Current Ratio 0.943; Quick Ratio 0.861; CCC -348.56 days; DSO 68.23 days; DIO 170.02 days; DPO 586.81 days; Fixed Asset Turnover ~2.07; Asset Turnover 0.0841; Cash per Share EUR 3.84; Free Cash Flow per Share EUR 0.0671
Shareholder Activity: Weighted Avg Shares Outstanding 737.8 million; Shares Repurchased EUR 147.0 million; Payouts/Dividends 0 in QQ1 2025