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المتفائلون يقولون
Strong Cash Generation
Robust operating and free cash flow gives Bouygues internal funding capacity for investment, debt service, and shareholder distributions. Positive cash generation across recent periods provides resilience for a diversified group whose projects and telecom networks require substantial ongoing capital.
Manageable Balance Sheet
Moderate leverage and stable equity provide a financial base for absorbing execution volatility across construction, property, and telecom activities. Although debt remains meaningful, the data does not show an upward spiral, preserving flexibility if profitability improves or weakens further.
Diversified Recurring Business Model
The mix of project-based infrastructure activity and recurring telecom subscriptions diversifies revenue sources and reduces reliance on one end market. Telecom customer relationships can support repeat cash inflows, while construction and infrastructure exposure connects the group to long-term public and private investment.

