Travaux Généraux de Construction de Casablanca S.A (CBSE:TGC)
Morocco flag Morocco · Delayed Price · Currency is MAD
900.00
0.00 (0.00%)
At close: Dec 5, 2025

CBSE:TGC Income Statement

Millions MAD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2019 2018
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '19 2018
Revenue
9,1257,5976,8665,1783,6263,039
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Revenue Growth (YoY)
20.89%10.64%32.61%42.81%19.28%35.06%
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Cost of Revenue
6,1205,4445,1233,7662,5782,106
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Gross Profit
3,0062,1531,7431,4121,048933.59
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Selling, General & Admin
1,7761,4161,307905.05662.36594.18
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Amortization of Goodwill & Intangibles
61.23.413.411.19--
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Other Operating Expenses
-253.72-176.36-145.89100.2221.28-2.26
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Operating Expenses
1,5841,2431,1651,006683.64591.92
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Operating Income
1,422910.07578.07405.32364.17341.67
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Interest Expense
-103.56-76.89-63.9-45.08-44.23-44.54
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Currency Exchange Gain (Loss)
-5.29-5.29-6.22.170.07-0.7
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Other Non Operating Income (Expenses)
2.962.961.36.17.37-16.02
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EBT Excluding Unusual Items
1,320830.85509.27368.51327.37280.41
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Other Unusual Items
-58.78-80.77-14.47-16.3621.3912.63
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Pretax Income
1,262750.08494.81352.15348.76293.04
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Income Tax Expense
480.6222.8128.33102.19110.22102.45
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Earnings From Continuing Operations
780.96527.28366.48249.97238.54190.59
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Minority Interest in Earnings
-102.02-5.47-3.9-4.65-2.54-0.12
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Net Income
678.94521.81362.58245.32236190.47
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Net Income to Common
678.94521.81362.58245.32236190.47
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Net Income Growth
35.71%43.92%47.80%3.95%23.91%-10.59%
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Shares Outstanding (Basic)
32323232323
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Shares Outstanding (Diluted)
32323232323
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Shares Change (YoY)
0.51%---1029.60%6.50%
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EPS (Basic)
21.4916.4911.467.757.4668.00
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EPS (Diluted)
21.4916.4911.467.757.4668.00
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EPS Growth
35.02%43.92%47.80%3.95%-89.03%-16.05%
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Free Cash Flow
1,562622.167.27-39.25262.59258.43
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Free Cash Flow Per Share
49.4419.662.13-1.248.3092.26
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Dividend Per Share
11.50011.5007.5006.000--
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Dividend Growth
53.33%53.33%25.00%---
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Gross Margin
32.94%28.34%25.38%27.27%28.90%30.72%
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Operating Margin
15.58%11.98%8.42%7.83%10.04%11.24%
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Profit Margin
7.44%6.87%5.28%4.74%6.51%6.27%
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Free Cash Flow Margin
17.12%8.19%0.98%-0.76%7.24%8.50%
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EBITDA
1,6801,068712.78514.3462.31443.61
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EBITDA Margin
18.41%14.06%10.38%9.93%12.75%14.59%
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D&A For EBITDA
258.79158.1134.71108.9898.14101.94
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EBIT
1,422910.07578.07405.32364.17341.67
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EBIT Margin
15.58%11.98%8.42%7.83%10.04%11.24%
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Effective Tax Rate
38.10%29.70%25.94%29.02%31.60%34.96%
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Revenue as Reported
9,7748,0707,2875,2613,7283,161
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Source: S&P Capital IQ. Standard template. Financial Sources.