Strong revenue growth, stable operative results in 2011

 

  • Revenues up 17.2% over previous year
  • EBITDA +9.2% to EUR 490.9m
  • EBIT +14.1% to EUR 254.5m
  • Cash flow from operating activities +50.0% to EUR 430.3m
  • Free cash flow of EUR 193.3m

 

Please find more financial information in the section Facts & Figures and in our download centre.

 

NOVOMATIC AG-Group Revenue
NOVOMATIC AG-Group Revenue Zoom
NOVOMATIC AG-Group EBITDA
NOVOMATIC AG-Group EBITDA Zoom
NOVOMATIC AG-Group EBIT
NOVOMATIC AG-Group EBIT Zoom
NOVOMATIC AG-Group Shares of Revenue
NOVOMATIC AG-Group Shares of Revenue Zoom
NOVOMATIC AG-Group Cash flow
NOVOMATIC AG-Group Cash flow Zoom


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