
Acs, Actividades De Construcción Y Servicios
(OTC) ACSAY
Acs, Actividades De Construcción Y Servicios Financials at a Glance
Market Cap
$38.70B
Revenue (TTM)
€50.40B
Net Income (TTM)
€991.34M
EPS (TTM)
$0.83
P/E Ratio
35.04
Dividend
$0.00
Beta (Volatility)
0.66 (Low)
Dividend
$0.00
Beta (Volatility)
0.66 (Low)
Price
$29.19
Volume
58,367
Open
$28.96
Price
$29.19
Volume
58,367
Open
$28.96
Previous Close
$29.19
Daily Range
$28.96 - $29.24
52-Week Range
$12.18 - $33.14
Estimated Earnings Date
Jul 23, 2026
Dividend
$0.00
Beta (Volatility)
0.66 (Low)
Price
$29.19
Volume
58,367
Open
$28.96
Previous Close
$29.19
Daily Range
$28.96 - $29.24
52-Week Range
$12.18 - $33.14
Estimated Earnings Date
Jul 23, 2026
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Get Access NowAbout Acs, Actividades De Construcción Y Servicios
Industry
Construction and Engineering
Sector
IndustrialsEmployees
167,803
CEO
Juan Santamaría Cases
Website
www.grupoacs.comHeadquarters
Madrid, 28036, ES
ACSAY Financials
Key Financial Metrics (TTM)
Gross Margin
90%
Operating Margin
-16%
Net Income Margin
2%
Return on Equity
20%
Return on Capital
-38%
Return on Assets
2%
Earnings Yield
2.85%
Dividend Yield
0.00%
Payout Ratio
24.26%
Stock Overview
Market Cap
$38.70B
Shares Outstanding
1.33B
Volume
58.37K
Avg. Volume
57.23K
Financials (TTM)
Gross Profit
€4.62B
Operating Income
€1.45B
EBITDA
€2.42B
Operating Cash Flow
€3.05B
Capital Expenditure
-€743.76M
Free Cash Flow
€2.30B
Cash & ST Invst.
€14.32B
Total Debt
€16.08B
Acs, Actividades De Construcción Y Servicios Performance Analysis
Revenue Growth Rate
Annual and quarterly growth comparisonEarnings Per Share Growth Rate
Annual and quarterly EPS growth comparisonQuarterly Performance
Revenue
€12.34B
+4.7%
Gross Profit
€12.34B
+4.7%
Gross Margin
100.00%
N/A
Market Cap
$38.70B
N/A
Market Cap/Employee
$246.07K
N/A
Employees
157,284
N/A
Net Income
€232.00M
+21.5%
EBITDA
€549.00M
-11.8%
Quarterly Fundamentals
Total Cash
€14.32B
+38.7%
Total Debt
€16.08B
+26.1%
Accounts Receivable
€12.15B
N/A
Inventory
€873.84M
N/A
Long Term Debt
€12.66B
+21.0%
Short Term Debt
€3.42B
+49.0%
Return on Assets
2.16%
N/A
Return on Invested Capital
-38.28%
N/A
Free Cash Flow
-€1.13B
-1548.1%
Operating Cash Flow
-€986.00M
-227.3%