Sacyr in figures

We endeavor to expand all our areas and subsidiaries internationally. Our work translates into success, and our success transforms society.

TURNOVER 4,571

€ million

EBITDA 1,352

€ million​

OPERATING CASH FLOW 1,294

P3 assets valuation 3,551

May 2024

NET PROFIT 113

€ million​

HEADCOUNT 15,121

positions​

Key figures in 2024

2024 2023* Var
Revenues 4,571 4,609 -1%
EBITDA 1,352 1,504 -10%
EBIT 1,225 1,231 -0.5%
Net Profit 113 106 +7.20%
Operating cash flow 848 705 +20%
Backlog 10,606 7,540 +41%
*Pro-forma figures for 2023 excluding the activity of VSM and Facilities and the divestment of N6 (Ireland)

Balance of contribution to the Sustainable Development Goals

Supply Chain

Environmental impact assessment of

1,441

Suppliers

Employment

Direct and indirect

15,121

Employees

Operating cash flow

Backlog

1,249

€ Million

Innovation

Investment in R&D

11.8

€ Million

Sustainability

Emissions reduction for the 4th consecutive year

93%

of waste is recycled, reused and recovered

Total Tax Contribution

Accrued + Levied

691

€ Million

Investments

Environment

+58

€ Million

Training

+297

thousand hours