ACS, Actividades de Construcción y Servicios, S.A.

General ticker "ACSAF" information:

  • Sector: Industrials
  • Industry: Engineering & Construction
  • Capitalization: $16.1B (TTM average)

ACS, Actividades de Construcción y Servicios, S.A. follows the US Stock Market performance with the rate: 43.4%.

Estimated limits based on current volatility of 1.8%: low 106.79$, high 110.44$

Factors to consider:

  • Company pays dividends (irregularly): last record date 2025-07-02, amount 1.83$ (Y1.69%)
  • Earnings for 6 months up through Q2 are close to our estimates

Stock Forecast*

* forecast is subjective and experimental, should not be used for any investment decisions

Long term estimates were made for the period from 2024-12-31 to 2026-12-31

  • 2024-12-31 to 2025-12-31 estimated range: [39.37$, 58.70$]
  • 2025-12-31 to 2026-12-31 estimated range: [42.27$, 62.93$]

Financial Metrics affecting the ACSAF estimates:

  • Negative: with PPE of 11.0 at the end of fiscal year the price was high
  • Positive: Operating cash flow per share per price, % of 24.47 > 12.99
  • Positive: -5.04 < Operating profit margin, % of 3.47
  • Negative: Shareholder equity ratio, % of 11.22 <= 19.41
  • Positive: 1.84 < Return on assets ratio (scaled to [-100,100]) of 1.93
  • Negative: Interest expense per share per price, % of 7.44 > 3.31
  • Positive: -14.20 < Investing cash flow per share per price, % of -10.94

Similar symbols

Short-term ACSAF quotes

Long-term ACSAF plot with estimates

Financial data

YTD 2023-12-31 2024-12-31
Operating Revenue €35,739.16MM €41,633.12MM
Operating Expenses €32,288.85MM €40,189.79MM
Operating Income €3,450.31MM €1,443.33MM
Non-Operating Income €-2,323.08MM €-449.99MM
Interest Expense €703.90MM €849.10MM
Income(Loss) €1,127.23MM €993.34MM
Taxes €199.08MM €-86.48MM
Profit(Loss)* €780.12MM €827.58MM
Stockholders Equity €5,329.42MM €4,714.21MM
Inventory €790.00MM €1,023.57MM
Assets €36,498.27MM €42,025.28MM
Operating Cash Flow €1,502.34MM €2,792.87MM
Capital expenditure €495.53MM €612.49MM
Investing Cash Flow €-15.75MM €-1,248.58MM
Financing Cash Flow €-1,652.86MM €496.66MM
Earnings Per Share** €3.07 €3.26

* Profit(Loss) attributable to entity.
** EPS are Split Adjusted, recent splits may be reflected with a delay.