KEY FIGURES

LIQUIDITY (M€)

7,964

ex-infrastructures.
Including available liquidity lines (1.333 M€)

NET CASH (M€)

1,991

ex-infrastructures.
Including net cash from Services (216 M€)

REVENUES* (M€)
CAPITALIZATION (M€)
6,341
2020
6,054
2019
+
4.7
%compared to 2019
16,564
-
16.20
%compared to 2019

* Figures excluding Services, classified as discontinued operations.

FREQUENCY INDEX(1)

-11.0%

compared to 2019

BENEFICIARIES OF
COMMUNITY PROJECTS
  

229,639

beneficiaries from the
Stronger Together, Social
Infrastructures and others Programs

Our 2020 summary

(1) Year-on-year change in the index giving the number of accidents occurring during working hours that lead to days lost, for every million hours worked. Does not include contractors.

WORKFORCE AT YEAR-END*
  • 80,1192020

  • 89,9682019

*at December 31, 2020

TOTAL TAX* (M€)

1,785

*Accrued, paid and collected in 2020

CO2 EMISSIONSscope 1&2 tCO2 eq/M€

-56%

in relative terms compared to 2009

OPERATING CASH FLOW* (M€)(before tax)

839

ex-infrastructures

501

in divestment