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All values are in million Euro Engie

2022
Income Statement

Revenue/Sales 93865
COGS 74535
Personnel cost 8078
GROSS COGS 82613
Other Income 1624
Other Expenses
Gross Income
Operating Income EBITDA 13713
D&A 4668
EBIT 9045
PAT/Net Income 5200

Balance Sheet

Cash & Cash Equivalent 15570


Inventory 8145
Current Asset 103969
Non Current Asset 131521
Total Asset 235490
Current Liability 93778
Non Current Liability 102427
Total Liability 196205
Equity 39285
Equity + Total Liability 235490

Cash Flow

Net Operating Cash Flow 8586


Net Investing Cash Flow -4290
Net Financing Cash Flow -2979
Total Cash Flow ( Incl Cash flow from Exchange Rate) 1680

No. of OutStanding Shares 2421


Engie Total energies
2021 2022 2021

57866 184634 119704


38861 118622 77486
7692 26894 25538
46553 145516 103024
1122 1312 2237
2317 1506
40509 18717
10563 35423 14688
4418 13556 22264
6145 21867 7576
3661 16366 7336

13890 17114 15867


6175 9440 10289
107915 56862 49196
117418 195120 192815
225333 251982 242011
95019 62989 53173
88336 104021 105148
183355 167010 158321
41980 84972 83690
225335 251982 242011

7313 45700 37300


-11042 -17400 -15500
4848 -5200 -1300
1352 23100 20500

2420 2572 2647


Ratios

1 Profitability Ratio
A Return Ratios
Return on Equity
Return on Assets
Return on Capital Employed
B Margin Ratio
Gross Margin Ratio

EBITDA Margin
Operating Profit Margin
Net Profit Margin

2 Leverage Ratios
A Leverage Ratios
Debt-to-Equity Ratio
Equity Ratio
Debt Ratio

3 Efficiency Ratios
Asset Turnover Ratio
Inventory Turnover Ratio
Inventory Turnover Days

4 Liquidity Ratios
A Asset Ratios
Current Ratio
Quick Ratio
Cash Ratio
B Cash Flow Ratios
Operating Cash Flow Ratio

5 Valuation Ratios
Earning Per Share
Price to Earning
Price to Book Value

Liquidity Ratio
Growth Ratio
Profitability Ratio
Levarage Ratio
Turnover Ratio

Discriminant Score
Distress Zone , This implies bankruptcy in next two years
Engie
2022 2021

Net Income / Shareholders' Equity 13.2% 8.7%


Net Income / Total Assets 2.2% 1.6%
EBIT/(Total Assets- Current Liability) 6.4% 4.7%

(Revenue - Cost of Goods Sold) / Revenue 12.0% 19.6%


Earnings Before Interest, Taxes, Depreciation, and Amortization (EBITDA) / 14.6% 18.3%
Revenue
EBIT/Revenue 9.6% 10.6%
Net Income / Revenue 5.5% 6.3%

Total Liabilities / Total Equity 4.9944 4.3677


Shareholders' Equity / Total Assets 0.1668 0.1863
Total Liabilities / Total Assets 0.8332 0.8137

Net Sales/Total Assets 0.3986 0.2568


COGS/Inventory 10.1428 7.5389
NO. of Days Inventory/Inventory Turnover Ratio 35.9862 48.4152

Current Assets / Current Liabilities 1.1087 1.1357


(Current Assets - Inventory) / Current Liabilities 1.0218 1.0707
Cash & Cash Equivalents/Current Liabilities 0.1660 0.1462

Cash Flow From Operation/Current Liabilities 0.0916 0.0770

Net Income/ No. of Shares 2.1479 1.5128


Share Price/EPS 6.2341 8.8511
Share Price/ Book Value

X1 = ( Net Working Capital/ Total Asset) 4.33%


X2 = ( Retained Eearning/ Total Asset) 2.21%
X3 = EBIT/Total Asset 3.84%
X4 = Book Value of equity / Book Value of Debt 20.02%
X5 = Net Sales/ Total Asset 39.86%

Z= 0.012 X1 + 0.014 X2 + 0.033 X3 + 0.006 X4 + 0.01X5 0.727926115


stress Zone , This implies bankruptcy in next two years
TotalEnergies
2022 2021
Engie TotalEnergies
25.0%

19.3% 8.8% 20.0% 19.3%


6.5% 3.0%
11.6% 4.0%
15.0%
13.2%
21.2% 13.9%

19.2% 12.3% 10.0% 8.7%

11.8% 6.3%
8.9% 6.1% 5.0%

0.0%
2021 20

1.9655 1.8918
0.3372 0.3458
0.6628 0.6542

0.7327 0.4946
15.4148 10.0130
23.6785 36.4525

0.9027 0.9252
0.7529 0.7317
0.2717 0.2984

0.7255 0.7015

6.3631 2.7714
9.2171 21.1623
gie TotalEnergies

8.7% 8.8%

2022
Fiscal year is January-December. All values EUR Millions. 2022 2021 2020 2019 2018
Sales/Revenue 93,865 57,866 44,306 60,058 56,967
Sales Growth 62.21% 30.61% -26.23% 5.43% -
Cost of Goods Sold (COGS) incl. D&A 87,806 51,553 40,573 56,233 52,876
COGS excluding D&A 82,613 46,553 35,591 51,170 48,456
Depreciation & Amortization Expense 5,193 5,000 4,982 5,063 4,420
Depreciation 4,152 3,996 - 4,120 -
Amortization of Intangibles 1,041 1,004 - 943 -
Amortization of Deferred Charges - - - - -
COGS Growth 70.32% 27.06% -27.85% 6.35% -
Gross Income 6,059 6,313 3,733 3,825 4,091
Gross Income Growth -4.02% 69.11% -2.41% -6.50% -
Gross Profit Margin 6.46% - - - -
SG&A Expense - - - 258 828
Research & Development 135 138 190 189 -
Other SG&A (135) (138) (190) 69 828
SGA Growth - - 0.00% -68.84% -
Other Operating Expense 3,346 826 345 (666) (741)
EBIT 2,713 5,487 - 4,233 -
Unusual Expense 4,222 1,010 3,926 1,806 1,967
Non Operating Income/Expense 158 1,092 864 402 (375)
Non-Operating Interest Income 69 125 176 253 192
Equity in Affiliates (Pretax) - - - - -
Interest Expense 1,653 1,121 1,131 1,293 951
Interest Expense Growth 47.46% -0.88% -12.53% 35.96% -
Gross Interest Expense 1,762 1,191 1,234 1,399 1,085
Interest Capitalized 109 70 103 106 134
Pretax Income (2,935) 4,573 (629) 1,789 903
Pretax Income Growth -164.18% 827.03% -135.16% 98.12% -
Pretax Margin -3.13% - - - -
Income Tax (83) 1,695 666 640 704
Income Tax - Current Domestic 1,762 740 765 761 713
Income Tax - Current Foreign - - - - -
Income Tax - Deferred Domestic (1,845) 955 (99) (121) (9)
Income Tax - Deferred Foreign - - - - -
Income Tax Credits - - - - -
Equity in Affiliates 1,059 800 553 500 361
Other After Tax Income (Expense) (77) (121) (187) (165) (144)
Consolidated Net Income (1,870) 3,557 (929) 1,484 416
Minority Interest Expense 172 96 641 664 572
Net Income (2,042) 3,461 (1,570) 820 (156)
Net Income Growth -159.00% 320.45% -291.46% 625.64% -
Net Margin -2.18% - - - -
Extraordinaries & Discontinued Operations 2,182 79 (153) - 1,045
Extra Items & Gain/Loss Sale Of Assets - - - - -
Cumulative Effect - Accounting Chg - - - - -
Discontinued Operations 2,182 79 (153) - 1,045
Net Income After Extraordinaries (4,224) 3,382 (1,417) 820 (1,201)
Preferred Dividends - - - - -
Net Income Available to Common 140 3,540 (1,723) 820 889
EPS (Basic) 0.06 1.46 (0.71) 0.34 0.37
EPS (Basic) Growth -96.05% 305.19% -309.89% -8.41% -
Basic Shares Outstanding 2,420 2,419 2,416 2,413 2,396
EPS (Diluted) 0.06 1.46 (0.71) 0.34 0.37
EPS (Diluted) Growth -96.03% 304.19% -310.90% -8.45% -
Diluted Shares Outstanding 2,420 2,431 2,416 2,425 2,407
EBITDA 7,906 10,487 8,370 9,296 8,424
EBITDA Growth -24.61% 25.29% -9.96% 10.35% -
EBITDA Margin 8.42% - - - -
EBIT 2,713 5,487 - 4,233 -
5-year trend
Fiscal year is January-December. All values EUR Millions. 2022 2021 2020

Asset - - -
Cash & Short Term Investments 16428.00 14389.00 13523.00
Cash Only 15570.00 13890.00 12980.00
Short-Term Investments - - -
Cash & Short Term Investments Growth 14.17% 6.40% 23.01%
Cash & ST Investments / Total Assets 6.98% 6.39% 8.83%
Total Accounts Receivable 60103.00 53556.00 30416.00
Accounts Receivables Net 43885.00 32555.00 14295.00
Accounts Receivables Gross 45858.00 33920.00 15568.00
Bad Debt/Doubtful Accounts -1973.00 -1365.00 -1273.00
Other Receivables 16218.00 21001.00 16121.00
Accounts Receivable Growth 12.22% 76.08% -5.29%
Accounts Receivable Turnover 1.56 1.08 1.46
Inventories 8145.00 6175.00 4140.00
Finished Goods - - -
Work in Progress - - -
Raw Materials 6724.00 5013.00 2746.00
Progress Payments & Other 1421.00 1162.00 1394.00
Other Current Assets 19293.00 33795.00 12008.00
Prepaid Expenses - - -
Miscellaneous Current Assets 19293.00 33795.00 12008.00
Total Current Assets 103969.00 107915.00 60087.00
Net Property Plant & Equipment 55488.00 51079.00 49889.00
Property Plant & Equipment - Gross 117831.00 108355.00 102327.00
Buildings 2762.00 3312.00 5447.00
Land & Improvements 649 650 633
Machinery & Equipment 96016.00 90530.00 81958.00
Construction in Progress 5649.00 4715.00 4616.00
Leases 5094.00 3867.00 4151.00
Computer Software and Equipment - - -
Leased Property - - -
Transportation Equipment 304 304 488
Other Property Plant & Equipment 7357.00 4977.00 5034.00
Accumulated Depreciation 62343.00 57276.00 52438.00
Buildings 1771.00 1849.00 3090.00
Land & Improvements 153 146 99
Machinery & Equipment 52709.00 49426.00 43444.00
Construction in Progress 724 387 309
Leases - - -
Computer Software and Equipment - - -
Leased Property - - -
Transportation Equipment 226 219 341
Other Property Plant & Equipment 5050.00 3965.00 3899.00
Total Investments and Advances 50797.00 43160.00 17150.00
LT Investment - Affiliate Companies 9279.00 10766.00 9287.00
Other Long-Term Investments 41518.00 32394.00 7863.00
Long-Term Note Receivable 2909.00 2334.00 1956.00
Intangible Assets 20218.00 19583.00 23139.00
Net Goodwill 12854.00 12799.00 15943.00
Net Other Intangibles 7364.00 6784.00 7196.00
Other Assets 80 81 81
Deferred Charges - - -
Tangible Other Assets 80 81 81
Total Assets 235490.00 225333.00 153182.00
Assets - Total - Growth 4.51% 47.10% -4.14%
Asset Turnover 0.41 - -
Return On Average Assets -0.89% - -

Liability
ST Debt & Current Portion LT Debt 12508.00 10590.00 7846.00
Short Term Debt 12115.00 10256.00 7352.00
Current Portion of Long Term Debt 393 334 494
Accounts Payable 39165.00 32197.00 16890.00
Accounts Payable Growth 21.64% 90.63% -9.60%
Income Tax Payable 16863.00 11316.00 6960.00
Other Current Liabilities 25242.00 40916.00 22338.00
Dividends Payable 23 9 76
Accrued Payroll 78 81 -
Miscellaneous Current Liabilities 25141.00 40826.00 22262.00
Total Current Liabilities 93778.00 95019.00 54034.00
Total Current Assets FOR CALCULATION PURPOSES ONLY 103969.00 107915.00 60087.00
Total Assets FOR CALCULATION PURPOSES ONLY 235490.00 225333.00 153182.00
Inventories FOR CALCULATION PURPOSES ONLY 8145.00 6175.00 4140.00
Cash & Short Term Investments FOR CALCULATION PURPOSES ONLY 16428.00 14389.00 13523.00
Current Ratio 1.11 1.14 1.11
Quick Ratio 1.02 1.07 1.04
Cash Ratio 0.18 0.15 0.25
Long-Term Debt 31476.00 34225.00 34005.00
Long-Term Debt excl. Capitalized Leases 28994.00 32516.00 32113.00
Non-Convertible Debt 28994.00 32516.00 32113.00
Convertible Debt - - -
Capitalized Lease Obligations - - -
Provision for Risks & Charges 24663.00 23394.00 24876.00
Deferred Taxes 4379.00 6557.00 3536.00
Deferred Taxes - Credit 6408.00 7738.00 4416.00
Deferred Taxes - Debit 2029.00 1181.00 880
Other Liabilities 43274.00 26744.00 5908.00
Deferred Tax Liability-Untaxed Reserves - - -
Other Liabilities (excl. Deferred Income) 43153.00 26676.00 5869.00
Deferred Income 121 68 39
Total Liabilities 199599.00 187120.00 123239.00
Non-Equity Reserves - - -
Total Liabilities / Total Assets 84.76% 83.04% 80.45%
Preferred Stock (Carrying Value) - - -
Redeemable Preferred Stock - - -
Non-Redeemable Preferred Stock - - -
Preferred Stock issues for ESOP - - -
ESOP Guarantees - Preferred Stock - - -
Common Equity (Total) 30859.00 33227.00 25032.00
Common Stock Par/Carry Value 2435.00 2435.00 2435.00
Additional Paid-In Capital/Capital Surplus 25667.00 26058.00 31291.00
Retained Earnings - - -
ESOP Debt Guarantee - - -
Cumulative Translation Adjustment/Unrealized For. Exch. Gain -1422.00 -2017.00 -2850.00
Unrealized Gain/Loss Marketable Securities - - -
Revaluation Reserves - - -
Other Appropriated Reserves -668 5238.00 -3874.00
Unappropriated Reserves 5036.00 1712.00 -1719.00
Treasury Stock -189 -199 -251
Common Equity / Total Assets 13.10% 14.75% 16.34%
Total Shareholders' Equity 30859.00 33227.00 25032.00
Total Shareholders' Equity / Total Assets 13.10% 14.75% 16.34%
Accumulated Minority Interest 5032.00 4986.00 4911.00
Total Equity 35891.00 38213.00 29943.00
Liabilities & Shareholders' Equity 235490.00 225333.00 153182.00
2019 2018 5-year trend

- -
10993.00 9773.00
10519.00 8700.00
- -
12.48% -
6.88% 6.36%
32114.00 31325.00
15180.00 15613.00
16277.00 16689.00
-1097.00 -1076.00
16934.00 15712.00
2.52% -
1.87 1.82
3617.00 4158.00
- -
- -
2324.00 2523.00
1293.00 1635.00
13772.00 16730.00
- -
13772.00 16730.00
60496.00 61986.00
51958.00 48917.00
101478.00 97309.00
5490.00 5676.00
698 671
81857.00 81615.00
4172.00 5469.00
3882.00 -
- -
- -
467 419
4912.00 3459.00
49520.00 48392.00
2995.00 3175.00
134 130
41722.00 42270.00
357 367
- -
- -
- -
320 290
3124.00 2160.00
18887.00 14852.00
11509.00 9344.00
7378.00 5508.00
1810.00 2229.00
25703.00 24527.00
18665.00 17809.00
7038.00 6718.00
79 125
- -
79 125
159793.00 153702.00
3.96% -
- -
- -

8543.00 5745.00
7965.00 5627.00
578 118
18683.00 19192.00
-2.65% -
7750.00 7449.00
22898.00 25505.00
104 170
135 -
22659.00 25335.00
57874.00 57891.00
60496.00 61986.00
159793.00 153702.00
3617.00 4158.00
10993.00 9773.00
1.05 1.07
0.98 1.00
0.19 0.17
33915.00 30184.00
31980.00 29922.00
31980.00 29922.00
- -
- -
22817.00 19194.00
3771.00 4349.00
4631.00 5415.00
860 1066.00
6434.00 3827.00
- -
6389.00 3791.00
45 36
125671.00 116511.00
- -
78.65% 75.80%
- -
- -
- -
- -
- -
29174.00 31801.00
2435.00 2435.00
31470.00 32565.00
- -
- -
-1098.00 -1130.00
- -
- -
-1369.00 -590
-1961.00 -1019.00
-303 -460
18.26% 20.69%
29174.00 31801.00
18.26% 20.69%
4948.00 5390.00
34122.00 37191.00
159793.00 153702.00
Fiscal year is January-December. All values EUR Millions. 2022 2021 2020 2019 2018
Net Income before Extraordinaries (1,793) 3,678 (742) 1,648 1,629
Net Income Growth -148.75% 595.69% -145.02% 1.17% -
Depreciation, Depletion & Amortization 8,057 5,484 8,432 7,083 5,085
Depreciation and Depletion - - - - -
Amortization of Intangible Assets - - - - -
Deferred Taxes & Investment Tax Credit (1,845) 955 (99) - -
Deferred Taxes (1,845) 955 (99) - -
Investment Tax Credit - - - - -
Other Funds 5,944 (1,006) 393 (46) 440
Funds from Operations 10,363 9,111 7,984 8,685 7,154
Extraordinaries - - - - -
Changes in Working Capital (2,424) (2,377) (902) (1,110) 149
Receivables (11,614) (11,043) (55) 802 (2,311)
Inventories (2,115) (2,349) (476) 465 (268)
Accounts Payable 8,521 10,676 (545) (1,107) 2,177
Income Taxes Payable - - - - -
Other Accruals - - - - -
Other Assets/Liabilities 2,784 339 174 (1,270) 551
Net Operating Cash Flow 7,939 6,734 7,082 7,575 7,303
Net Operating Cash Flow Growth 17.89% -4.91% -6.51% 3.72% -
Net Operating Cash Flow / Sales 8.46% 11.64% 15.98% 12.61% 12.82%
Investing Activities
Capital Expenditures -6,379 -5,990 -4,964 -6,524 -6,202
Capital Expenditures (Fixed Assets) -6,379 -5,990 -4,964 -6,524 -6,202
Capital Expenditures (Other Assets) - - - - -
Capital Expenditures Growth -6.49% -20.67% 23.91% -5.19% -
Capital Expenditures / Sales -6.80% -10.35% -11.20% -10.86% ###
Net Assets from Acquisitions -289 -565 -405 -876 -1,001
Sale of Fixed Assets & Businesses 6,901 1,173 616 2,810 2,979
Purchase/Sale of Investments 1,497 -1,782 1,174 -2,179 -433
Purchase of Investments -407 -1,917 -2,685 -2,341 -621
Sale/Maturity of Investments 1,904 135 3,859 162 188
Other Uses -6,001 -3,003 -533 -531 -1,534
Other Sources - 121 - - -
Net Investing Cash Flow -4,271 -10,046 -4,112 -7,300 -6,191
Net Investing Cash Flow Growth 57.49% -144.31% 43.67% -17.91% -
Net Investing Cash Flow / Sales -4.55% -17.36% -9.28% -12.15% ###
Financing Activities
Cash Dividends Paid - Total -2,665 -1,859 -621 -2,372 -2,536
Common Dividends -2,665 -1,859 -621 -2,372 -2,536
Preferred Dividends - - - - -
Change in Capital Stock -374 226 181 -1,372 174
Repurchase of Common & Preferred Stk. -374 - - -1,372 -
Sale of Common & Preferred Stock - 226 181 - 174
Proceeds from Stock Options - 226 181 - 174
Other Proceeds from Sale of Stock - - - - -
Issuance/Reduction of Debt, Net -2,303 3,298 1,306 4,915 262
Change in Current Debt - - - - -
Change in Long-Term Debt - - - - -
Issuance of Long-Term Debt - - - - -
Reduction in Long-Term Debt - - - - -
Other Funds 2,991 2,765 -854 -249 838
Other Uses -216 -218 -879 -249 -441
Other Sources 3,207 2,983 25 - 1,279
Net Financing Cash Flow -2,351 4,430 12 922 -1,262
Net Financing Cash Flow Growth -153.07% 36816.67% -98.70% 173.06% -
Net Financing Cash Flow / Sales -2.50% 7.66% 0.03% 1.54% -2.22%
Exchange Rate Effect 363 233 -528 623 -79
Miscellaneous Funds - - - - -
Net Change in Cash 1,680 1,351 2,454 1,820 -229
Free Cash Flow 1,560 744 2,118 1,051 1,101
Free Cash Flow Growth 109.68% -64.87% 101.52% -4.54% -
Free Cash Flow Yield -3.41% - - - -
5-year trend
Mill Euro
Total Equity 35891.00
Total Asset 235490.00
Current Asset 103969.00
Current Liability 93778.00
Working Capital 10191.00
Retained Earning -4,224
Sales/Revenue
COGS (EXCL D&A)
Inventory
EBITDA 2,713
EBIT
PBT
PAT/ Net Income
Total Liabilities 199599.00
Sales/Revenue 93,865

Current Ratio 1.11


Quick Ratio 1.02
Cash Ratio 0.18
Price to earnings ratio -3.31
Price to book ratio 1.39
Solvency Ratio
Debt to equity ratio 1.69

Long term debt to total equit 1.36

Profitability (%)
Return on assets -0.89
Return on equity -6.37
Return on invested capital -3.15
Gross margin 6.46
Operating margin 2.89
EBITDA margin 8.42
Net margin -2.1
2021 2022
Engie TotalEnergies Engie
Return on Equity 0.0872 0.0877 0.1324
Return on Assets 0.0162 0.0303 0.0221
Return on Capital Emplo 0.0472 0.0401 0.0638
Gross Margin Ratio 0.1955 0.1393 0.1199
EBITDA Margin 0.1825 0.1227 0.1461
Operating Profit Margin 0.1062 0.0633 0.0964
Net Profit Margin 0.0633 0.0613 0.0554

Debt-to-Equity Ratio 4.3677 1.8918 4.9944


Equity Ratio 0.1863 0.3458 0.1668
Debt Ratio 0.8137 0.6542 0.8332

Asset Turnover Ratio 0.2568 0.4946 0.3986


Inventory Turnover Rati 7.5389 10.0130 10.1428
Inventory Turnover Days 48.4152 36.4525 35.9862

Current Ratio 1.1357 0.9252 1.1087


Quick Ratio 1.0707 0.7317 1.0218
Cash Ratio 0.1462 0.2984 0.1660
Operating Cash Flow 0.0770 0.7015 0.0916
Ratio
Earning Per Share 1.5128 2.7714 2.1479
Price to Earning 8.8511 21.1623 6.2341
Price to Book Value
2022
TotalEnergies Return on Equity
0.1926
0.1926
0.0649
0.2000
0.1157 0.1800
0.2119 0.1600 0.1324
0.1400
0.1919 0.1200 0.0872 0.0877
0.1184 0.1000
0.0886 0.0800
0.0600
0.0400
1.9655 0.0200
0.0000
0.3372 Engie TotalEnergies Engie TotalEnergies
0.6628 2021 2022

Return on Equity

0.7327
15.4148
23.6785

0.9027
0.7529
0.2717

0.7255

6.3631
9.2171
Engie TotalEnergies
2021 2022 2021 2022
Return on Equity 8.72% 13.24% 8.77% 19.26%
Return on Assets 1.62% 2.21% 3.03% 6.49%
Return on Capital Employed 4.72% 6.38% 4.01% 11.57%
Gross Margin 19.55% 11.99% 13.93% 21.19%
EBITDA Margin 18.25% 14.61% 12.27% 19.19%
Operating Profit Margin 10.62% 9.64% 6.33% 11.84%
Net Profit Margin 6.33% 5.54% 6.13% 8.86%

Debt-to-Equity Ratio 4.37 4.99 1.89 1.97


Equity Ratio 0.19 0.17 0.35 0.34
Debt Ratio 0.81 0.83 0.65 0.66

Asset Turnover Ratio 0.26 0.40 0.49 0.73


Inventory Turnover Ratio 7.54 10.14 10.01 15.41
Inventory Turnover Days 48.42 35.99 36.45 23.68

Current Ratio 1.14 1.11 0.93 0.90


Quick Ratio 1.07 1.02 0.73 0.75
Cash Ratio 0.15 0.17 0.30 0.27
Operating Cash Flow Ratio 0.08 0.09 0.70 0.73
Earning Per Share 1.51 2.15 2.77 6.36
Price to Earning 8.85 6.23 21.16 9.22
Price to Book Value
Return on Assets

7.00% 6.49%

6.00%

5.00%

4.00%
3.03%

3.00% 2.21%
1.62%
2.00%

1.00%

0.00%
2021 2022 2021 2022
Engie TotalEnergies

Chart Title

25.0
21.16

20.0

15.0

8.85 9.22
20.0

15.0

8.85 9.22
10.0
6.23

5.0

0.0
Price to Earning

Engie 2021 2022 TotalEnergies 2021 2022


48.42
5000.00% Engie 2021 2022 TotalEnergies 2021 2022
4500.00%
4000.00% 36.45
35.99
3500.00%
3000.00%
23.68
6.49% 2500.00% 21.16
2000.00% 15.41
1500.00% 10.14
10.01 9.22
8.85
7.54 6.36
6.23
1000.00% 4.99
4.37
1.97 0.81
1.89 2.77
2.15
1.51
500.00%8.72%
19.26%
13.24%
8.77%
6.38%
4.72% 21.19%
19.55%
4.01% 19.19%
18.25%
14.61%
13.93%
11.57% 12.27%
11.99% 8.86% 0.19
11.84%
10.62%
9.64%
6.33%
6.33%
6.13%
5.54% 0.170.83
0.35
0.340.66
0.65 0.73
0.49
0.40
0.26 1.14
1.11
1.07
1.02
0.93
0.900.75
0.730.30
0.17
0.15 0.73
0.70
0.27
0.09
0.08
0.00%

2022
gies

9.22
9.22

021 2022

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