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Results Presentation

Consult and download all the presentation of results from recent years, published in the National Securities Market Commission (CNMV).

 

The FY 2025 results presentation was held on 27th February 2026 at 12:00 CET.

To access the webcast click here.

FY 2025 Results Presentation

2025

Sacyr's FY 2025 Results Presentation was held on February 27th, 2026 at 12:00h CET.

Access to streaming

New Award Turin Health Complex

Italy: strategic market

SIS, a consortium comprising Fininc and Sacyr, will build and manage this project for 25 years, which will require an investment of €517 million. More info

Lousiana I-10 highway awarding. 

USA Strategic Market

A world-class consortium comprised of Sacyr, Acciona and Plenary Americas have signed a P3 project to design, build, finance, operate and maintain for 50 years the construction and improvement of a 10-km-long stretch including a new bridge. More info

Northern Chile Airport Network

Chile

The contract covers the operation and expansion of the Antofagasta and Atacama airports. This P3 calls for an investment of €266 million and has a concession term of 26 years. More info.

Peripherical Ring Road

Peru

We are developing a major 34.8 km urban motorway that will improve Lima's connectivity. The concession includes the design, financing, construction, management and maintenance of the road. More info.

Our activity in figures

 

Consult key figures from the latest published results, corresponding to the FY 2025.

Dividends of Sacyr

Information regarding dividends paid.

FY 2025 Results

Results presentation corresponding to full year 2025

ENGINEERING & INFRASTRUCTURE BACKLOG 12,470

million euros

+18%

9M 2025 Results

Sacyr's results demonstrate the soundness of the group's strategy, focused on the concession's activity.

RECOURSE NET DEBT 59

million euros

-60%

Operating Cash Flow/EBITDA conversion 100%

+436 b.p.

Our latest results

Sacyr's results demonstrate the soundness of the group's strategy, focused on the concession's activity.

OPERATING CASH FLOW 1,359

million euros

+5%

DISTRIBUTIONS FROM CONCESSIONAL ASSETS 224

million euros

-2%