Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Data sourced from SEC EDGAR filings and third-party price providers. Scores, valuations, and metrics are algorithmic estimates. This is not investment advice. See our Terms and Methodology.
Eiffage S.A. is a French construction and concessions group specializing in complex infrastructure and built-environment projects. Headquartered in France, the company operates across multiple business lines grouped into major divisions covering construction, civil engineering, energy systems, and concessions. Eiffage designs, builds, renovates, and maintains transport infrastructure, buildings, industrial facilities, and urban developments, serving both public-sector and private clients. The group is also active in concessions and public-private partnerships, particularly in motorways and large infrastructure assets, where it manages long-term operation and maintenance. With a strong presence in Europe and selected international markets, Eiffage plays a significant role in supporting mobility, urbanization, and energy transition initiatives. Its activities contribute to sectors such as transportation, real estate, industry, and public infrastructure, positioning Eiffage as a key participant in the European construction and infrastructure ecosystem.
Operating margin is thin at 9.83%. Limited cushion if revenue slows or costs rise, not the profile of a wide-moat business.
Revenue grew 8.7%, steady but not accelerating. Free cash flow declined 17% despite revenue growth, conversion is weakening.
Free cash flow declined 17% versus the prior year, cash generation momentum has weakened. Net debt of €9.83B represents 4.3x FCF, leverage limits flexibility.
Profitability & Returns
Revenue (TTM)
€26.13B
▲ +8.7% YoY
Net Income (TTM)
€1.47B
▼ -3.5% YoY
Op. Margin
9.83%
▼ -0.2pp YoY
ROIC
6.70%
▼ -0.3pp YoY
Cash Flow & Balance Sheet
FCF (TTM)
€2.30B
▼ -17.0% YoY
Op. Cash Flow (TTM)
€2.50B
▼ -16.8% YoY
Net Debt
€9.83B
Cash & Equiv.
€5.95B
3Y CAGR: +7.8%
3Y CAGR: +6.1%
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