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Key figures     
IN € MILLION 20222021202020192018
Business development     
Revenue 2,863.32,667.32,486.02,590.12,498.5
Personnel expenses 1,734.11,630.51,542.91,572.91,510.0
Cash flow from operating activities 292.7342.7417.1315.0208.2
Free cash flow1 150.1228.1302.4197.3105.2
Capital expenditures 153.8106.3110.7126.0100.6
EBIT2 195.0225.2172.0202.8105.5
Income before taxes 182.7215.1158.2184.494.6
Consolidated net income 132.6154.5111.0132.648.2
EVA (Economic Value Added) 48.977.439.064.012.9
EBIT marginIN %6.88.46.97.84.2
EBIT margin, adjustedIN %7.78.88.38.78.9
EBT marginIN %6.48.16.47.13.8
EBT margin, adjustedIN %7.18.47.88.28.5
Assets     
Non-current assets 1,970.01,722.31,692.41,585.01,203.5
Current assets 1,103.9945.0926.4855.2868.3
Balance sheet total 3,073.92,667.32,618.82,440.22,071.8
Equity ratioIN %54.648.236.537.238.8
Employees (annual average)     
Full-time equivalents 23,95723,22022,80323,02422,424
Headcount      
As of December 31 26,59525,53825,19625,01524,529

1 _ Free cash flow: Cash flow from operating activities less cash paid for investments in intangible assets, property, plant and equipment and investment property.

2 _ EBIT: Earnings before interest, before other financial result and before income tax, but after income from participations.

2,863.3

MILLION
REVENUE

153.8

MILLION
CAPITAL EXPENDITURES

182.7

MILLION
INCOME BEFORE TAXES