Picture of Traton SE logo

8TRA Traton SE News Story

0.000.00%
de flag iconLast trade - 00:00
IndustrialsAdventurousLarge CapNeutral

Brief: Traton Preliminary Net Cash Flow FY At EUR 1.643 Bln

Jan 21 (Reuters) - TRATON SE 8TRA.DE:

PRELIMINARY NET CASH FLOW FOR FISCAL YEAR 2025 EXCEEDS FORECAST AND MARKET EXPECTATIONS

TRATON GROUP RECORDS IN ITS PRELIMINARY FINANCIAL FIGURES FOR FISCAL YEAR 2025 A NET CASH FLOW FOR TRATON OPERATIONS OF EUR 1.643 BILLION

PRELIMINARY KEY PERFORMANCE INDICATORS REGARDING SALES REVENUE AND ADJUSTED OPERATING RETURN ON SALES OF TRATON GROUP AND TRATON OPERATIONS FOR FY2025 ARE WITHIN RESPECTIVE FORECAST RANGES AND CURRENT CONSENSUS, IN PARTICULAR RETURN ON SALES (ADJUSTED) AT 6.3%

Source text: ID:nEQbYNzHVa

Further company coverage: 8TRA.DE

 (Gdansk Newsroom)

 ((Gdansk.newsroom@thomsonreuters.com; +48 58 7696600;))

Recent news on Traton SE

See all news