Grupo Empresarial San Jose SA: 2021 Summary Financial Report



Grupo SANJOSE records revenues and EBITDA for the year 2021 up to 927.7 million euros and 54.4 million euros, respectively. The contracted order book shows a strong growth of 16.3% compared to the same period of the previous year, reaching 2,118 million euros

  • The construction business maintains its strength, representing 90.3% of the Group’s total revenue
  • During 2021, Grupo SANJOSE reduced its financial debt by 31.4%, recording net cash of 199.7 million euros as of December 31, 2021
  • The Board of Directors proposes the distribution of a dividend of EUR 0.10 per share (same amount as in previous years)

Madrid, February 24, 2022.- The domestic market is showing great vigor, representing 73% of total revenue for the year ended December 31, 2021 and amounting to €678.4 million. For its part, the international market brought in 249.3 million euros, or 27% of the total.

The net turnover of Grupo SANJOSE amounts to 927.7 million euros as of December 31, 2021. The EBITDA amounts to 54.4 million euros and the profit after tax to 13.9 million euros. euros.

Construction revenue as of December 31, 2021 amounted to €837.6 million with an associated EBITDA of €37.8 million.

The backlog as of December 31, 2021 increased by 16.3% compared to December 31, 2020, amounting to €2,118 million. The construction order book – the Group’s main activity – amounted to 1,531 million euros, or 24.1% more than the previous year and representing 72% of the Group’s total order book.


Grupo Empresarial SANJOSE SA published this content on February 24, 2022 and is solely responsible for the information contained therein. Distributed by publicunedited and unmodified, on February 24, 2022 22:52:16 UTC.


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