Ferrovial in 2 minutes

Key figures

Key figures
TOTAL LIQUIDITY* (M€)
ex-infrastructure.
Includes undrawn credit lines (€651 million)
CONSOLIDATED NET DEBT * (M€)
ex-infrastructure project companies.

Revenues (M€)

2024
2023
+ %
compared to 2023
Construction order book (M€)
+%
compared to 2023
Serious injuries and fatalities frequency rate (1)
%
compared to 2022
Electricity from renewable sources
%
CO2 emissions
Scope 1&2 tCO2 eq
%
in absolute terms compared to 2020
Total taxes* (M€)
*Supported, paid and collected in 2024
Beneficiaries of social projects*
of beneficiaries of Stronger Together, Social Infrastructure and other programs.
Workforce at year-end*
*as of December 31, 2024