TOTAL LIQUIDITY* (€M)
ex-infrastructure. Includes undrawn credit lines (€1,008 million). *More information on Alternative Performance Measures section.
5,320€M in 2024
5,320€M in 2024
CONSOLIDATED NET DEBT * (€M)
ex-infrastructure project companies. *More information on Alternative Performance Measures section.
-1,794 €M in 2024
-1,794 €M in 2024
Revenues (€M)
2025
2024
+
%
(+8.6% in like-for-like terms)
compared to 2024
Construction order book (€M)
+%
compared to 2024
compared to 2024
Índice de frecuencia de accidentes graves y fatales (1)
%
compared to 2022
Electricidad de fuentes renovables
%
in 2025
CO2 emissions
Scope 1&2 tCO2 eq
Scope 1&2 tCO2 eq
%
en términos absolutos respecto a 2020
Total taxes* (€M)
*Supported, paid and collected in 2025
Beneficiarios de proyectos sociales*
beneficiaries of Stronger Together, Social Infrastructure and other programs.
Plantilla a cierre*
*as of December 31, 2025
