Staff turnover in EUR323,464306,100270,117--
Staff turnover in EUR323,464306,100270,117--
The share: stated in EUR20212022202320242025
Shares outstanding (in mn.)7.388.317.84--
Dividend per share-----
Basic earnings per share-0.39-0.49-0.78--
P/L in EUR million under IAS/IFRS20212022202320242025
Turnover2,222.82,103.52,008.00.00.0
Operating income (EBIT)-129.5-221.7-390.90.00.0
Earnings before taxes-142.5-264.7-424.80.00.0
Annual net profit/ loss-141.8-251.7-406.30.00.0
Balance sheet in EUR million under IAS/IFRS20212022202320242025
Assets
Total current assets2,284.32,214.61,667.70.00.0
Total fixed assets548.6501.3496.50.00.0
Total assets2,832.92,715.92,164.30.00.0
Liabilities
Total short-term liabilities1,639.82,365.92,318.80.00.0
Total long-term liabilities835.0256.9187.50.00.0
Total provisions105.6112.2113.00.00.0
Equity capital358.193.1-342.00.00.0
Total liabilities2,832.92,715.92,164.30.00.0
Management:
Tareq Kawash
Des Thurlby
Elie Lahoud
James Boothroyd
Marc Bonandrini
Roberto Bertocco
Sandra Redding
Board:
Matthias F. Bichsel
Afonso Reis E Sousa i
David Davies
Sara Akbar
Shareholding in %:
Address: 4th Floor, 117 Jermyn Street, SW1Y 6HH London
T: +44 20 7811 4900
F: +44 20 7811 4901
I: http://www.petrofac.com
E: [email protected]