Loading...
XPAR
FDJU
Market cap6.61bUSD
Mar 07, Last price  
33.00EUR
1D
-1.61%
1Q
-12.42%
IPO
45.37%
Name

LA FRANÇAISE DES JEUX SOCIÉTÉ ANONYME

Chart & Performance

D1W1MN
No data to show
P/E
15.29
P/S
1.99
EPS
2.16
Div Yield, %
5.39%
Shrs. gr., 5y
-0.65%
Rev. gr., 5y
9.40%
Revenues
3.07b
+16.93%
1,548,902,0001,648,629,0001,695,600,0001,762,000,0001,802,600,0001,955,600,0001,919,600,0002,255,600,0002,461,100,0002,621,400,0003,065,100,000
Net income
399m
-6.19%
-7,749,000159,104,000176,000,000180,700,000170,400,000133,000,000213,700,000294,200,000307,900,000425,100,000398,800,000
CFO
577m
-8.25%
311,169,00089,159,000-78,400,000291,900,000245,100,000204,700,000685,900,000597,500,000403,800,000628,900,000577,000,000
Dividend
May 30, 20252.05 EUR/sh
Earnings
Apr 25, 2025

Profile

La Française des Jeux Société anonyme operates lottery and online sports betting games worldwide. The company offers instant and draw games. Its brand portfolio comprises Loto, EuroMillions, Cash, Amigo, Joker, Bingo Live, Keno, Mission Patrimoine, and Parions Sport. The company was founded in 1933 and is headquartered in Boulogne-Billancourt, France.
IPO date
Nov 21, 2019
Employees
3,121
Domiciled in
FR
Incorporated in
FR

Valuation

Title
EUR in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑122023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
3,065,100
16.93%
2,621,400
6.51%
2,461,100
9.11%
Cost of revenue
1,713,300
2,118,600
2,119,700
Unusual Expense (Income)
NOPBT
1,351,800
502,800
341,400
NOPBT Margin
44.10%
19.18%
13.87%
Operating Taxes
137,900
141,000
113,300
Tax Rate
10.20%
28.04%
33.19%
NOPAT
1,213,900
361,800
228,100
Net income
398,800
-6.19%
425,100
38.06%
307,900
4.66%
Dividends
(328,700)
(253,400)
(229,500)
Dividend yield
4.78%
4.04%
3.20%
Proceeds from repurchase of equity
BB yield
Debt
Debt current
129,100
42,800
39,500
Long-term debt
2,289,600
430,700
428,700
Deferred revenue
28,400
Other long-term liabilities
85,700
70,800
68,400
Net debt
1,597,300
(844,000)
(1,137,400)
Cash flow
Cash from operating activities
577,000
628,900
403,800
CAPEX
(149,900)
(124,700)
(104,100)
Cash from investing activities
(1,762,300)
(21,700)
(181,700)
Cash from financing activities
1,334,700
(580,500)
(315,200)
FCF
1,278,800
437,000
146,800
Balance
Cash
843,200
749,700
720,400
Long term investments
(21,800)
567,800
885,200
Excess cash
668,145
1,186,430
1,482,545
Stockholders' equity
1,183,900
1,071,100
925,400
Invested Capital
2,940,455
485,400
535,300
ROIC
70.87%
70.89%
40.96%
ROCE
34.97%
30.65%
22.46%
EV
Common stock shares outstanding
184,819
190,806
190,817
Price
37.22
13.34%
32.84
-12.61%
37.58
-3.49%
Market cap
6,878,960
9.78%
6,266,082
-12.62%
7,170,896
-3.56%
EV
8,476,260
5,422,082
6,033,496
EBITDA
1,579,800
628,400
472,400
EV/EBITDA
5.37
8.63
12.77
Interest
37,700
6,800
9,900
Interest/NOPBT
2.79%
1.35%
2.90%