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Amadeus IT Group, S.A.

Qualité des données : 100%
AMADY
OTC Consumer Cyclical Travel Services
57,48 €
▼ 0,46 € (-0,79%)
Cap. Boursière : 24,77B
Également cotée sous AMADF OTC
Fourchette du Jour
57,32 € 57,94 €
Fourchette 52 Semaines
54,75 € 85,89 €
Volume
50 809
Moyenne 50J / 200J
63,32 € / 75,09 €
Clôture Précédente
57,94 €

Quick Summary

Historique des Prix

Tendances Financières

Comparaison Sectorielle

vs médiane du secteur Consumer Cyclical (610 pairs)

Métrique Action Médiane du Secteur
P/E 19,3 11,2
P/B 5,1 1,4
ROE % 25,9 10,7
Net Margin % 20,5 5,2
Rev Growth 5Y % 23,7 8,1
D/E 0,0 0,8

Objectif de Cours des Analystes

Aucune couverture d'analyste disponible

Estimations de Bénéfices

Période BPA Est. CA Est. Analystes
FY2030 5,36 €
5,30 € – 5,43 €
8,23B 1
FY2029 4,84 €
4,79 € – 4,91 €
8,36B 1
FY2028 4,34 €
4,29 € – 4,40 €
7,99B 1

Earnings Surprises

Last 8 quarters
Quarter Est. EPS Actual EPS Surprise
2026-02-27 0,66 € 0,84 € +26,9%
2025-11-07 0,94 € 0,98 € +4,3%
2025-07-31 0,96 € 0,95 € -1,0%
2025-05-08 0,91 € 0,84 € -7,7%
2025-02-28 0,62 € 0,76 € +22,6%
2024-11-07 0,81 € 0,85 € +4,1%
2024-07-31 0,82 € 0,90 € +9,4%
2024-05-08 0,79 € 0,80 € +1,3%

Dividend History

Yield

0,02%

Payout Ratio

N/A

Growth (3Y)

N/A

Growth (5Y)

N/A

Ex-Date Payment Date Amount Yield
Jan 15, 2026 Feb 02, 2026 0,61 € 1,94%
Jul 03, 2025 Jul 21, 2025 1,04 € 1,37%
Jan 16, 2025 Feb 03, 2025 0,37 € 1,48%
Jul 03, 2024 Jul 19, 2024 0,65 € 1,44%
Jan 16, 2024 Feb 02, 2024 0,34 € 1,38%
Jul 11, 2023 Jul 28, 2023 0,62 € 0,85%
Jan 15, 2020 Feb 03, 2020 0,45 € 1,19%
Jul 10, 2019 Jul 29, 2019 0,56 € 1,22%
Jan 15, 2019 Feb 01, 2019 0,42 € 1,39%
Jun 29, 2018 Jul 16, 2018 0,57 € 1,27%
Jan 29, 2018 Feb 15, 2018 0,43 € 1,15%
Jun 27, 2017 Jul 17, 2017 0,45 € 1,27%
Jan 27, 2017 Feb 16, 2017 0,31 € 1,72%
Jul 25, 2016 0,49 € 1,99%
Jan 25, 2016 0,38 € 1,96%
Jul 27, 2015 0,42 € 1,90%
Jan 27, 2015 0,39 € 2,12%
Jul 24, 2014 0,44 € 2,09%
Jan 28, 2014 0,41 € 1,80%
Jul 25, 2013 0,33 € 1,95%

Points Clés

Revenue grew 23,74% annually over 5 years — strong growth
ROE of 25,88% indicates high profitability
Net margin of 20,49% shows strong profitability
Debt/Equity of 0,00 — conservative balance sheet
Generating 2,01B in free cash flow
Revenue growth is decelerating — 1Y growth trails 5Y average by 21,82%

Croissance

Revenue Growth (5Y)
23,74%
Revenue (1Y)1,92%
Earnings (1Y)2,39%
FCF Growth (3Y)29,73%

Qualité

Return on Equity
25,88%
ROIC26,12%
Net Margin20,49%
Op. Margin26,98%

Sécurité

Debt / Equity
0,00
Current Ratio0,82
Interest Coverage23,14

Valorisation

P/E Ratio
19,31
Forward P/EN/A
P/B Ratio5,11
EV/EBITDA14,09
Dividend Yield0,02%

All Fundamental Metrics

Growth
Revenue Growth (1Y) 1,92% Revenue Growth (3Y) 7,26%
Earnings Growth (1Y) 2,39% Earnings Growth (3Y) 7,14%
Revenue Growth (5Y) 23,74% Earnings Growth (5Y) N/A
Profitability
Revenue (TTM) 6,26B Net Income (TTM) 1,28B
ROE 25,88% ROA 11,19%
Gross Margin 32,72% Operating Margin 26,98%
Net Margin 20,49% Free Cash Flow (TTM) 2,01B
ROIC 26,12% FCF Growth (3Y) 29,73%
Safety
Debt / Equity 0,00 Current Ratio 0,82
Interest Coverage 23,14
Dividends
Dividend Yield 0,02% Payout Ratio N/A
Dividend Growth (3Y) N/A Dividend Growth (5Y) N/A
Consecutive Div Years N/A
Valuation
P/E Ratio 19,31 Forward P/E N/A
P/B Ratio 5,11 P/S Ratio 3,96
PEG Ratio 12,29 Forward PEG N/A
EV/EBITDA 14,09 Fwd EV/EBITDA N/A
Forward P/S N/A Fwd Earnings Yield N/A
FCF Yield 8,12%
Market Cap 24,77B Enterprise Value 23,79B

Income Statement

Annual, most recent first

Income statement data, annual, most recent first
Metric FY2025 FY2024 FY2023 FY2022 FY2021
Revenue 6,26B 6,14B 5,44B 4,49B 2,67B
Net Income 1,28B 1,25B 1,12B 664,40M -142,40M
EPS (Diluted) 2,89 2,78 2,43 1,45 -0,32
Gross Profit 2,05B 2,66B 2,41B 1,87B 834,90M
Operating Income 1,69B 1,63B 1,41B 962,70M -83,00M

Balance Sheet

Annual, most recent first

Balance sheet data, annual, most recent first
Metric FY2025 FY2024 FY2023 FY2022 FY2021
Total Assets 11,47B 11,78B 10,80B 11,71B 11,18B
Total Liabilities 6,62B 6,72B 6,31B 7,13B 7,44B
Shareholders' Equity 4,85B 5,06B 4,48B 4,58B 3,75B
Total Debt 0,0 3,38B 3,31B 4,41B 4,98B
Cash & Equivalents 975,19M 1,05B 1,04B 1,43B 1,13B
Current Assets 2,48B 2,59B 2,40B 3,07B 2,64B
Current Liabilities 3,03B 3,04B 2,49B 2,97B 2,00B