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Key figures

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In million euros

2015  2014
proforma
Change
2015/2014

Backlog

28,990

32,102

- €3,113 m

Sales revenue

4,199

3,954

1.8% LFL

Restated EBITDA1

In percentage of sales revenue

1,181

28.1%

771

19.5%

+ €410 m

+ 8.6 pts

Reported EBITDA

In percentage of sales revenue

 685

16.3%

471

11.9%

+ €214 m

+ 4.4 pts

Restated operating cash flow1

676

(287)

+ €963 m

Reported operating cash flow

297

(579)

+ €876 m

Restated operating income1

(478)

(1,325)

-€847m

Reported operating income 

(1,388)

(2,115)

-€727m

Net income attributable to owners of the parent

(2,038)

(4,833)

+€2,795m 

Earnings per share

-€5.33

-€12.64

+€7.31

 

12.31.15

12.31.14

 

Net debt (+) / cash (-)

(6,323)

(5,809)

-€514m

Net cash flow

(590)

(1,282)

+€692m

 

1 Restated data from the OL3 project.

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2015 Reference document