voestalpine Group Key Figures

      Q 1 2024/25 VS. Q 2 2024/25

      In millions of euros

       

      Q 1 2024/25

       

      Q 2 2024/25

       

      Change
      in %

       

       

      04/01/–
      06/30/2024

       

      07/01/–
      09/30/2024

       

       

       

       

       

       

       

       

      Income statement

       

       

       

       

       

       

      Revenue

       

      4,145.7

       

      3,896.6

       

      –6.0

      EBITDA

       

      417.2

       

      300.8

       

      –27.9

      Depreciation

       

      189.4

       

      190.2

       

      0.4

      EBIT

       

      227.8

       

      110.7

       

      –51.4

      Profit before tax

       

      188.5

       

      60.0

       

      –68.2

      Profit after tax1

       

      149.7

       

      33.2

       

      –77.8

       

       

       

       

       

       

       

      Statement of financial position

       

       

       

       

       

       

      Investments in tangible and intangible assets and interests

       

      167.9

       

      332.8

       

      98.2

      Equity

       

      7,560.9

       

      7,426.3

       

      –1.8

      Net financial debt

       

      1,754.6

       

      2,045.7

       

      16.6

      Net financial debt in % of equity (gearing)

       

      23.2%

       

      27.5%

       

       

       

       

       

       

       

       

       

      Financial key performance indicators (KPIs)

       

       

       

       

       

       

      EBITDA margin

       

      10.1%

       

      7.7%

       

       

      EBIT margin

       

      5.5%

       

      2.8%

       

       

      Cash flows from operating activities

       

      214.5

       

      131.1

       

      –38.9

       

       

       

       

       

       

       

      Share information

       

       

       

       

       

       

      Share price, end of period (euros)

       

      25.22

       

      23.38

       

      –7.1

      Market capitalization, end of period

       

      4,324.0

       

      4,008.5

       

      –7.3

      Number of outstanding shares, end of period

       

      171,450,616

       

      171,450,616

       

      0.0

       

       

       

       

       

       

       

      Basic earnings per share (euros)

       

      0.79

       

      0.15

       

      –81.0

       

       

       

       

       

       

       

      Diluted earnings per share (euros)

       

      0.77

       

      0.16

       

      –79.2

       

       

       

       

       

       

       

      Personnel

       

       

       

       

       

       

      Employees (full-time equivalent), end of period

       

      51,371

       

      51,733

       

      0.7

       

       

       

       

       

       

       

      1

      Before deduction of non-controlling interests.

      H 1 2023/24 VS. H 1 2024/25

      In millions of euros

       

      H 1 2023/241

       

      H 1 2024/25

       

      Change
      in %

       

       

      04/01/–
      09/30/2023
      restated

       

      04/01/–
      09/30/2024

       

       

       

       

       

       

       

       

      Income statement

       

       

       

       

       

       

      Revenue

       

      8,512.8

       

      8,042.3

       

      –5.5

      EBITDA

       

      903.4

       

      718.1

       

      –20.5

      Depreciation

       

      384.1

       

      379.6

       

      –1.2

      EBIT

       

      519.3

       

      338.5

       

      –34.8

      Profit before tax

       

      427.8

       

      248.5

       

      –41.9

      Profit after tax from continuing operations

       

      322.7

       

      182.9

       

      –43.3

      Profit after tax from discontinued operations

       

      –2.0

       

      0.0

       

       

      Profit after tax2

       

      320.7

       

      182.9

       

      –43.0

       

       

       

       

       

       

       

      Statement of financial position

       

       

       

       

       

       

      Investments in tangible and intangible assets and interests

       

      484.8

       

      500.7

       

      3.3

      Equity

       

      7,729.9

       

      7,426.3

       

      –3.9

      Net financial debt

       

      2,080.1

       

      2,045.7

       

      –1.7

      Net financial debt in % of equity (gearing)

       

      26.9%

       

      27.5%

       

       

       

       

       

       

       

       

       

      Financial key performance indicators (KPIs)

       

       

       

       

       

       

      EBITDA margin

       

      10.6%

       

      8.9%

       

       

      EBIT margin

       

      6.1%

       

      4.2%

       

       

      Cash flows from operating activities

       

      390.8

       

      345.6

       

      –11.6

       

       

       

       

       

       

       

      Share information

       

       

       

       

       

       

      Share price, end of period (euros)

       

      25.84

       

      23.38

       

      –9.3

      Market capitalization, end of period

       

      4,430.3

       

      4,008.5

       

      –9.5

      Number of outstanding shares, end of period

       

      171,450,616

       

      171,450,616

       

      0.0

       

       

       

       

       

       

       

      Basic earnings per share (euros) from continuing operations

       

      1.53

       

      0.94

       

      –38.6

      Basic earnings per share (euros) from discontinued operations

       

      –0.01

       

      0.00

       

      –100.0

      Basic earnings per share (euros)

       

      1.52

       

      0.94

       

      –38.2

       

       

       

       

       

       

       

      Diluted earnings per share (euros) from continuing operations

       

      1.50

       

      0.93

       

      –38.0

      Diluted earnings per share (euros) from discontinued operations

       

      –0.01

       

      0.00

       

      –100.0

      Diluted earnings per share (euros)

       

      1.49

       

      0.93

       

      –37.6

       

       

       

       

       

       

       

      Personnel

       

       

       

       

       

       

      Employees (full-time equivalent), end of period

       

      51,212

       

      51,733

       

      1.0

       

       

       

       

       

       

       

      1

      H 1 2023/24 retroactively restated. For further details see General Information/Accounting Policies and, Annual Report 2023/24, B. Summary of Accounting Policies.

      2

      Before deduction of non-controlling interests.