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Prysmian S.p.A. PRY.MI

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Prysmian S.p.A. financials (annual)

Revenue
€16.07B €15.35B €17.03B €19.65B 2022202320242025
Net income
€504.0M €529.0M €729.0M €1.27B 2022202320242025
Free cash flow
€584.0M €792.0M €1.14B €1.37B 2022202320242025

Bars are annual figures from 2022 to 2025; red bars are negative (a loss or cash outflow).

MetricFY2025FY2024FY2023FY2022
Revenue€19.6B€17.0B€15.4B€16.1B
Gross profit€7.5B€6.3B€5.7B€5.4B
SG&A expense€411.0M€346.0M€251.0M€307.0M
Operating income€1.5B€1.2B€1.0B€812.0M
Interest expense€220.0M€214.0M€124.0M€46.0M
Income tax€358.0M€233.0M€217.0M€230.0M
Net income€1.3B€729.0M€529.0M€504.0M
EPS (diluted)€4.30€2.52€1.84€1.90
Operating cash flow€2.2B€1.9B€1.4B€1.0B
Free cash flow€1.4B€1.1B€792.0M€584.0M
Cash & equivalents€2.0B€1.0B€1.7B€1.3B
Inventory€3.1B€2.9B€2.3B€2.7B
Goodwill€3.6B€3.5B€1.7B€1.7B
Total assets€20.2B€18.2B€13.3B€12.8B
Total debt€5.2B€5.4B€3.0B€3.1B
Total liabilities€13.5B€12.9B€9.4B€9.0B
Shareholders' equity€6.5B€5.1B€3.8B€3.6B
Share buybacks€47.0M€327.0M€4.0M€0

Growth · year-over-year · Revenue CAGR 6.9%

MetricFY2025FY2024FY2023FY2022
Revenue growth+15.4%+10.9%-4.4%
Net income growth+74.2%+37.8%+5.0%
EPS growth+70.6%+37.0%-3.2%
Free cash flow growth+20.3%+43.9%+35.6%

Each column is the change versus the prior fiscal year. Growth off a negative or zero base is shown as “—”. CAGR is the compound annual revenue growth across the years shown.

Computed from company filings · IT · as of 2025-12-31. Figures in EUR. Facts plus Stocktoria's own computed scores — not investment advice.