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.
Duro Felguera, S.A. is a Spain-based engineering and construction company specializing in the execution of turnkey projects and provision of specialized services across energy, mining, oil and gas, and industrial sectors. Founded in 1858 and headquartered in Gijón, Asturias, it offers comprehensive solutions encompassing engineering, procurement, construction, startup, and maintenance for conventional and renewable energy plants, green hydrogen and energy storage facilities, mineral processing and bulk-handling systems, LNG tanks, pressure vessels, and logistic systems. The company operates through segments including Conventional Energy, Renewable Energy, Mining & Handling, Oil & Gas, Industrial Plants, Services, and DF Digital Security, with a global footprint spanning Spain, Latin America, Europe, Africa, the Middle East, and Asia. Notable for manufacturing capital goods like boilers and storage tanks, Duro Felguera holds ISO 50001 certification for energy management, underscoring its commitment to sustainability and innovation in infrastructure development for power generation, resource extraction, and industrial facilities.
€0.21
€0.04 (-16.47%)
EOD Jun 23, 2026 · Twelve Data
The business is unprofitable at the operating level (-34.58% margin). The thesis depends entirely on whether and when it reaches sustainable profitability.
Revenue declined 43.7% YoY. The question is whether this is cyclical or a structural shift.
Negative free cash flow of -€23M. The business is consuming cash, not generating it.
Based on TTM earnings · Diluted shares
Profitability & Returns
Revenue (TTM)
€161M
▼ -43.7% YoY
Net Income (TTM)
-€71M
▲ +27.8% YoY
Op. Margin
-34.58%
▼ -1.2pp YoY
ROIC
-52.60%
▲ +54.7pp YoY
Cash Flow & Balance Sheet
FCF (TTM)
-€23M
▲ +70.5% YoY
Op. Cash Flow (TTM)
-€23M
▲ +58.8% YoY
Net Debt
€125M
Cash & Equiv.
€18M
3Y CAGR: +11.2%
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