29 July 2029
We have released our 1H 2025, a period in which we have doubled investment to accelerate the growth projected in our 2024-2027 Strategic Plan. Operating cash flow reached €615 million, 7% more than in the same period of 2024.
This is the indicator that best reflects the growth and value generation of a P3 company like Sacyr.
Links
SCYR.MC - Reuters y Estrategia de inversión - shareholder
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