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Fomento De Construcciones Y Contratas

(OTC) FMOCF

Current Price$13.03
Market Cap$6.16B
Since IPO (2003)-37%
5 Year+20%
1 Year+22%
1 Month+0%

Fomento De Construcciones Y Contratas Financials at a Glance

Market Cap

$6.16B

Revenue (TTM)

$9.57B

Net Income (TTM)

$230.92M

EPS (TTM)

$0.39

P/E Ratio

33.18

Dividend

$0.00

Beta (Volatility)

0.10 (Low)

Price

$13.03

Volume

11

Open

$13.03

Previous Close

$13.03

Daily Range

$13.03 - $13.03

52-Week Range

$10.30 - $13.03

FMOCF News

No articles available.

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About Fomento De Construcciones Y Contratas

Industry

Commercial Services and Supplies

Employees

72,910

CEO

Pablo Colio Abril

Website

www.fcc.es

Headquarters

Madrid, 28050, ES

FMOCF Financials

Key Financial Metrics (TTM)

Gross Margin

61%

Operating Margin

7%

Net Income Margin

2%

Return on Equity

5%

Return on Capital

6%

Return on Assets

1%

Earnings Yield

3.01%

Dividend Yield

0.00%

Payout Ratio

8.52%

Stock Overview

Market Cap

$6.16B

Shares Outstanding

472.94M

Volume

11

Short Interest

0.00%

Avg. Volume

0.177

Financials (TTM)

Gross Profit

$5.84B

Operating Income

$594.52M

EBITDA

$1.36B

Operating Cash Flow

$1.20B

Capital Expenditure

$713.22M

Free Cash Flow

$486.90M

Cash & ST Invst.

$2.99B

Total Debt

$5.73B

Fomento De Construcciones Y Contratas Performance Analysis

Revenue Growth Rate

Annual and quarterly growth comparison

Earnings Per Share Growth Rate

Annual and quarterly EPS growth comparison

Quarterly Performance

Name
Q2 2025YOY CHG

Revenue

$2.29B

+7.2%

Gross Profit

$1.41B

+11.7%

Gross Margin

61.56%

N/A

Market Cap

$6.16B

N/A

Market Cap/Employee

$99.73K

N/A

Employees

61,791

N/A

Net Income

$40.35M

-71.1%

EBITDA

$300.73M

-0.8%

Quarterly Fundamentals

Name
Q2 2025YOY CHG

Net Cash

$2.73B

+22.2%

Accounts Receivable

$2.99B

+15.0%

Inventory

$331.31M

-21.8%

Long Term Debt

$4.38B

-14.7%

Short Term Debt

$1.34B

+239.7%

Return on Assets

1.46%

N/A

Return on Invested Capital

5.69%

N/A

Free Cash Flow

$6.40M

-59.4%

Operating Cash Flow

$164.73M

-15.7%

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