Key figures

TOTAL LIQUIDITY (M€)

6,118

ex-infrastructure. Includes undrawn lines (964 M€)

REVENUES* (M€)

7,551
2022
6,910
2021
+9.3%
compared to 2022
* Figures excluding Services, classified as discontinued operations

NET CASH (M€)

1,439
ex-infraestructure

CONSTRUCTION ORDER BOOK (M€)

+18.7%
14,743

CO2EMISSIONS

scope 1&2 tCO2eq/M€
42.91

CO2EMISSIONS

scope 1&2 tCO2eq
-25.35%
in absolute terms compared to 2009

WORKFORCE AT YEAR-END*

24,191
*as of December 31, 2022*

OPERATING CASH FLOW (M€)

(before taxes)
584
ex-infraestructure
429
in divestments

FREQUENCY RATE(1)

3.2
(1) This rate includes the number of accidents with lost time occurring during the working day per million hours worked. Contractors are not included.

TOTAL TAXES* (M€)

1,569
*Supported, paid and collected in 2022

BENEFICIARIES OF COMMUNITY PROJECTS

160,333
beneficiaries of the Stronger Together, Social Infrastructure and other programs.