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Elia Group SA/NV (CH:E4S)
:E4S
Switzerland Market

Elia Group SA/NV (E4S) Financial Statements

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Elia Group SA/NV Financial Overview

Elia Group SA/NV's market cap is currently CHF13.11B. The company's EPS TTM is CHF5.54; its P/E ratio is 21.66; Elia Group SA/NV is scheduled to report earnings on July 29, 2026, and the estimated EPS forecast is CHF―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 25Dec 24Dec 23Dec 22Dec 21
Income Statement
Total Revenue€ 4.44B€ 3.77B€ 3.84B€ 3.62B€ 2.55B
Gross Profit€ 1.33B€ 1.67B€ 1.55B€ 212.50M€ 304.90M
Operating Income€ 1.59B€ 879.10M€ 644.20M€ 185.90M€ 282.10M
EBITDA€ 2.33B€ 1.55B€ 1.29B€ 1.15B€ 962.30M
Net Income€ 585.90M€ 450.50M€ 355.40M€ 361.00M€ 295.20M
Balance Sheet
Cash & Short-Term Investments€ 4.14B€ 2.03B€ 1.38B€ 4.37B€ 3.37B
Total Assets€ 32.15B€ 24.93B€ 19.39B€ 20.84B€ 18.33B
Total Debt€ 18.29B€ 14.92B€ 10.42B€ 9.20B€ 8.56B
Net Debt€ 14.15B€ 12.89B€ 9.05B€ 5.05B€ 5.51B
Total Liabilities€ 23.72B€ 18.75B€ 13.87B€ 15.57B€ 13.95B
Stockholders' Equity€ 7.63B€ 5.56B€ 4.57B€ 4.62B€ 3.85B
Cash Flow
Free Cash Flow€ -2.56B€ -3.48B€ -3.82B€ -104.50M€ 2.76B
Operating Cash Flow€ 2.13B€ 944.20M€ -1.51B€ 1.47B€ 3.99B
Investing Cash Flow€ -5.02B€ -4.87B€ -2.29B€ -1.49B€ -1.19B
Financing Cash Flow€ 5.00B€ 4.60B€ 1.01B€ 1.13B€ -340.60M
Currency in EUR

Elia Group SA/NV Earnings and Revenue History

Elia Group SA/NV Debt to Assets

Elia Group SA/NV Cash Flow

Elia Group SA/NV Forecast EPS vs Actual EPS