Investor area

Key figures for 2024

  • 5282m

    Group revenue

    +6.6% organic growth vs. 8.4% in 2023

  • +4.6%

    reported growth

    vs.11.4% in 2023

  • 12%

    EBITDA margin

    vs. 12.2% in 2023

  • 5m

    net profit/(loss) from continuing operations

    vs. €(49) million in 2023

  • 400m

    free operating cash flow

    vs. €288 million in 2023

  • 518m

    cash and cash equivalents

  • 5.8x

    financial leverage

    vs. 6.2x in 2023

  • 2.6billion

    real estate portfolio

    vs. €3.0 billion in 2023

Figures as at 31 December 2024 pre IFRS 16. 

More figures

Our latest results

Press release Presentation Report Webcast Transcript
2025 first quarter revenue - - -

Capital Markets Day

Press release Presentation Webcast Transcript
Capital Markets Day 2024
- -

Financial press releases

  • Financing

    Clariane has successfully completed a bond issue in the amount of 400 million euros

  • Financing

    The Group completes its plan to strengthen its financial structure with the disposal of its Petits-fils home care services network

  • Financing

    Renewal of the drawdown under the Revolving Credit Facility for a six-month period

See all press releases

Our CSR vision

Financial agenda

  1. Revenue and results for the first half of 2025

  2. Third-quarter 2025 revenue

This agenda is given for information, it is subject to change if necessary. Unless exception, publications will be released after the close of Euronext Paris.

See all events

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