Euronav NV | Large-cap | Energy

TL;DR: Financial Overview - Revenue, Profits & Key Metrics

Latest Quarterly: Jun 2025

Income Metrics

Revenue 330.5M
Gross Profit 68.6M 20.76%
Operating Income 51.1M 15.47%
Net Income -6.5M -1.96%
EPS (Diluted) €0.04

Balance Sheet Metrics

Total Assets 7.2B
Total Liabilities 5.0B
Shareholders Equity 2.2B
Debt to Equity 2.29

Cash Flow Metrics

Operating Cash Flow 207.1M
Free Cash Flow -238.4M

Revenue & Profitability Trend

Euronav NV Income Statement From 2020 to 2024

Metric20242023202220212020
Revenue i801.3M1.1B854.7M419.8M1.2B
Cost of Goods Sold i463.5M542.5M619.6M694.3M671.5M
Gross Profit i337.8M576.8M235.0M-274.5M538.8M
Gross Margin % i42.2%51.5%27.5%-65.4%44.5%
Operating Expenses
Research & Development i-----
Selling, General & Administrative i64.7M53.7M47.6M29.3M34.3M
Other Operating Expenses i-43.4M-21.4M-15.4M-10.5M-10.5M
Total Operating Expenses i21.2M32.3M32.2M18.8M23.8M
Operating Income i314.7M541.2M198.5M-296.6M511.6M
Operating Margin % i39.3%48.4%23.2%-70.7%42.3%
Non-Operating Items
Interest Income i13.5M18.7M7.1M1.9M3.7M
Interest Expense i124.3M120.4M86.7M60.3M63.9M
Other Non-Operating Income547.7M332.4M93.1M30.1M33.8M
Pre-tax Income i743.7M783.0M206.1M-339.2M475.2M
Income Tax i1.6M5.4M2.8M-427.0K1.9M
Effective Tax Rate % i0.2%0.7%1.4%0.0%0.4%
Net Income i742.1M777.6M203.3M-338.8M473.2M
Net Margin % i92.6%69.5%23.8%-80.7%39.1%
Key Metrics
EBITDA i462.6M770.5M439.8M59.0M836.0M
EPS (Basic) i€4.44€4.25€1.01€-1.68€2.25
EPS (Diluted) i€4.44€4.25€1.01€-1.68€2.25
Basic Shares Outstanding i167066627201901743211510546211437178220364980
Diluted Shares Outstanding i167066627201901743211510546211437178220364980

Income Statement Trend

Euronav NV Balance Sheet From 2020 to 2024

Metric20242023202220212020
Assets
Current Assets
Cash & Equivalents i33.1M389.1M179.9M152.5M161.5M
Short-term Investments i-----
Accounts Receivable i148.6M233.7M300.9M195.4M169.9M
Inventory i22.6M20.4M41.6M69.0M75.8M
Other Current Assets-----
Total Current Assets i401.2M1.5B607.1M459.4M451.9M
Non-Current Assets
Property, Plant & Equipment i30.1M55.2M71.9M58.5M119.0M
Goodwill i13.8M12.9M15.7M186.0K161.0K
Intangible Assets i13.8M12.9M15.7M--
Long-term Investments1.1M018.1M6.4M2.0K
Other Non-Current Assets57.7M2.9M18.1M20.6M22.5M
Total Non-Current Assets i2.9B1.6B3.4B3.3B3.2B
Total Assets i3.3B3.1B4.0B3.8B3.7B
Liabilities
Current Liabilities
Accounts Payable i19.0M38.1M24.7M26.0M27.2M
Short-term Debt i258.8M267.9M157.6M236.5M117.6M
Current Portion of Long-term Debt-----
Other Current Liabilities-----
Total Current Liabilities i334.6M384.9M254.3M321.0M203.6M
Non-Current Liabilities
Long-term Debt i2.0B575.5M1.5B1.5B1.2B
Deferred Tax Liabilities i373.3K----
Other Non-Current Liabilities-----
Total Non-Current Liabilities i2.0B577.4M1.5B1.5B1.2B
Total Liabilities i2.3B962.3M1.8B1.8B1.4B
Equity
Common Stock i203.8M216.7M239.1M239.1M239.1M
Retained Earnings i662.2M732.1M386.0M180.1M540.7M
Treasury Stock i242.5M142.8M163.0M164.1M164.1M
Other Equity-----
Total Shareholders Equity i1.0B2.1B2.2B2.0B2.3B
Key Metrics
Total Debt i2.2B843.4M1.7B1.7B1.3B
Working Capital i66.6M1.1B352.7M138.4M248.3M

Balance Sheet Composition

Euronav NV Cash Flow Statement From 2020 to 2024

Metric20242023202220212020
Operating Activities
Net Income i742.1M777.6M203.3M-338.8M473.2M
Depreciation & Amortization i141.5M200.3M222.6M345.0M319.8M
Stock-Based Compensation i----0
Working Capital Changes i43.2M87.3M-77.8M-22.5M188.9M
Operating Cash Flow i1.0B1.2B456.8M63.9M1.1B
Investing Activities
Capital Expenditures i510.4M786.6M-166.9M-357.4M-147.1M
Acquisitions i-1.0B-002.0M
Investment Purchases i-----
Investment Sales i-----
Investing Cash Flow i-580.1M788.2M-142.3M-353.1M-116.9M
Financing Activities
Share Repurchases i-----118.5M
Dividends Paid i-960.2M-571.4M-24.2M-24.2M-352.0M
Debt Issuance i2.3B2.4B1.3B1.5B893.8M
Debt Repayment i-1.4B-3.2B-1.3B-1.1B-1.4B
Financing Cash Flow i-343.6M-1.7B-343.3M70.5M-1.4B
Free Cash Flow i-564.5M451.9M-284.7M-438.6M744.4M
Net Change in Cash i116.0M214.5M-28.8M-218.7M-422.0M

Cash Flow Trend

Euronav NV Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) 2.78
Forward P/E 7.30
Price to Book 0.59
Price to Sales 1.88

Profitability Ratios

Profit Margin 42.16%
Operating Margin 108.33%
Return on Equity 73.04%
Return on Assets 22.30%

Financial Health

Current Ratio 0.92
Debt to Equity 2.21

Per Share Data

EPS (TTM) €4.44
Book Value per Share €13.14
Revenue per Share €4.80

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
eurn1.5B2.780.5973.04%42.16%2.21
CMB Tech N.V 2.5B7.131.1411.85%22.69%221.01
Fluxys Belgium NV 1.4B17.182.3413.48%11.97%392.77
Exmar N.V 834.9M4.710.9526.84%56.24%45.44
KBC Group NV 39.5B11.381.6814.43%31.37%1.97
Argenx SE 38.4B37.826.3324.72%41.03%0.71

Financial data is updated regularly. All figures are in the company's reporting currency.