Skip to main content

Repsol SA (BME:REP)

Oil, Gas and Consumable Fuels
Energía
cobertura inflación
cíclico

Repsol, S.A. operates as a multi-e energy company in Spain, Peru, the United States, Portugal, and internationally. The company operates through Upstream, Industrial, Customer, and Low-Carbon Generation segments. Its Upstream segment engages in the exploration, development, and production of crude oil and natural gas reserves, as well as develops low-carbon geological solutions. The company’s Industrial segment is involved in refining activities and petrochemicals business; the trading, transport, and sale of crude oil, natural gas, and fuels; and development of hydrogen, sustainable biofuels, and synthetic fuels. Its Customer segment involved in mobility; and sale of fuel products, electricity and gas, lubricants, and other specialties. The company’s Low-Carbon Generation segment engages in the low-emissions electricity generation and renewable sources. It also provides asphalt products; installs, operates, and manages service stations; provides maritime services; constructs and operates oil refineries; explores and produces hydrocarbons; offers human resource; distributes and supplies electricity; and develops new energy projects, solar, and wind projects, as well as produces and sells chemical products and lubricants. In addition, the company involved in fuel and special products sale, research, trading and transport, insurance and reinsurance, safety, and financing activities; development of production processes, storage, transport, use, consumption, and transformation of hydrogen; decarbonization activities; and promotion, design, construction, and operation of molecular recycling facilities. Further, the company produces synthetic oil cloths; and invests in liquefaction plant project. The company was formerly known as Repsol YPF, S.A. and changed its name to Repsol, S.A. in May 2012. Repsol, S.A. was founded in 1927 and is headquartered in Madrid, Spain.

Precio Actual

€16.29
+0.06% vs día anterior

Capitalización

25B

Desviación

-22.21%

Y/Y Growth

0.5%

EBIT Margin

8.6%

ROIC

7%

PEG Ratio

0.61

ROE

9%

3Y EPS Growth

11.4%

Dividend Yield

6.02%

Net Debt / EBITDA

0.3x

Proyecciones CAGR

Proyecciones de tasa de crecimiento anual compuesta basadas en diferentes modelos de valoración. CAGR EV/FCF es la métrica principal.

CAGR EV/FCF
10.7%
CAGR EV/FCF (2025):
28.5%
CAGR Prom.:
11.0%
CAGR P/E:
11.7%
CAGR EV/EBITDA: 10.3%
CAGR EV/EBIT: 11.2%
Precio de compra para +15%:
€12.24

Múltiplos de Valoración

Múltiplos de valoración utilizados para las estimaciones de CAGR y precios objetivo.

P/E
7x
(Fair: 31x)
EV/FCF
8x
EV/EBITDA
3x
EV/EBIT
5x

Gráfico de Evolución del Precio

Precios Objetivo FCF

Precios futuros estimados de la acción basados en proyecciones de flujo de caja libre.

Calculadora de Sensibilidad

Compara el CAGR de tu valoración con el que resultaría al aplicar diferentes múltiplos (LTM y Fair P/E).

Mercado LTM P/E
17x
Fair P/E
31x
CAGR EV/FCF
Tu Múltiplo: 8x
10.7%
28.7%
45.1%
CAGR P/E
Tu Múltiplo: 7x
11.7%
33.4%
50.5%
Tu CAGR
CAGR con LTM
CAGR con Fair P/E

Notas

Rendimiento Histórico vs. Índices

Rendimiento anual (YTD) de la acción comparado con índices y materias primas de referencia.

Media vs. Bitcoin
-179.85%
Media vs. Gold
-7.47%
Media vs. Bono USA 7-10y
+8.02%
Media vs. Bono USA 1-3y
+7.47%
Media vs. Bono USA 20+y
+9.61%
Media vs. Dow Jones
-3.89%
Media vs. S&P 500
-6.76%
Media vs. NASDAQ 100
-12.18%
Media vs. MSCI World
-4.15%
Media vs. Russell 2000
-2.28%
Media vs. STOXX Europe 600
+2.03%
Rendimiento anual de cada inversión. La línea discontinua marca el 0% (punto de equilibrio).
Año
Rendimiento BME:REP
Rendimiento Bitcoin
Rendimiento vs. Bitcoin
Rendimiento Gold
Rendimiento vs. Gold
Rendimiento Bono USA 7-10y
Rendimiento vs. Bono USA 7-10y
Rendimiento Bono USA 1-3y
Rendimiento vs. Bono USA 1-3y
Rendimiento Bono USA 20+y
Rendimiento vs. Bono USA 20+y
Rendimiento Dow Jones
Rendimiento vs. Dow Jones
Rendimiento S&P 500
Rendimiento vs. S&P 500
Rendimiento NASDAQ 100
Rendimiento vs. NASDAQ 100
Rendimiento MSCI World
Rendimiento vs. MSCI World
Rendimiento Russell 2000
Rendimiento vs. Russell 2000
Rendimiento STOXX Europe 600
Rendimiento vs. STOXX Europe 600
2025
YTD en Vivo
37.35%-1.40%+38.75%57.46%-20.11%4.29%+33.06%0.99%+36.36%0.69%+36.67%13.12%+24.23%16.85%+20.51%22.29%+15.06%20.22%+17.13%12.99%+24.37%13.34%+24.02%
2024
-13.79%110.77%-124.56%26.96%-40.75%-3.73%-10.06%0.05%-13.84%-11.17%-2.62%12.80%-26.59%24.01%-37.80%30.78%-44.57%17.88%-31.67%10.80%-24.59%5.50%-19.30%
2023
-11.45%153.66%-165.11%11.76%-23.21%-0.15%-11.31%0.98%-12.44%-2.54%-8.91%13.74%-25.20%24.73%-36.18%44.52%-55.98%21.92%-33.38%15.78%-27.24%11.67%-23.13%
2022
39.44%-65.23%+104.66%0.78%+38.66%-15.93%+55.37%-5.00%+44.43%-31.00%+70.44%-9.40%+48.83%-19.95%+59.39%-33.89%+73.33%-19.70%+59.14%-22.50%+61.94%-13.29%+52.72%
2021
28.73%60.33%-31.60%-6.24%+34.97%-4.15%+32.88%-0.98%+29.71%-5.94%+34.66%20.23%+8.50%28.79%-0.06%23.20%+5.53%21.22%+7.51%15.39%+13.34%21.66%+7.07%
2020
-41.36%301.93%-343.29%23.90%-65.27%8.33%-49.69%2.02%-43.38%15.12%-56.49%6.02%-47.38%15.29%-56.66%41.75%-83.12%12.94%-54.31%18.48%-59.85%-4.64%-36.73%
2019
-2.18%88.85%-91.03%17.78%-19.95%5.55%-7.73%1.20%-3.37%10.91%-13.09%21.91%-24.09%28.34%-30.51%34.60%-36.78%25.23%-27.41%23.05%-25.23%23.42%-25.59%
2018
-6.07%-71.79%+65.72%-3.12%-2.95%-0.97%-5.10%-0.24%-5.83%-3.17%-2.90%-6.03%-0.04%-7.01%+0.94%-5.30%-0.77%-11.16%+5.09%-13.00%+6.93%-13.42%+7.35%
2017
9.02%1,184.56%-1,175.54%11.93%-2.91%0.76%+8.25%-0.63%+9.65%6.03%+2.98%24.33%-15.31%18.42%-9.40%27.16%-18.14%19.45%-10.44%12.45%-3.43%7.16%+1.86%
2016
33.40%109.91%-76.51%6.53%+26.87%-1.15%+34.55%-0.02%+33.42%-1.91%+35.31%15.24%+18.16%11.24%+22.16%9.79%+23.61%6.53%+26.87%22.42%+10.98%1.33%+32.06%
Media7.31%187.16%-179.85%14.77%-7.47%-0.71%+8.02%-0.16%+7.47%-2.30%+9.61%11.20%-3.89%14.07%-6.76%19.49%-12.18%11.45%-4.15%9.59%-2.28%5.27%+2.03%

Historial de Valoración

Historial de cambios significativos en los factores de valoración y precios objetivo a lo largo del tiempo. Los valores resaltados indican un cambio respecto a la valoración anterior.

Fecha de Valoración
Y/Y Growth
EBIT Margin
Net Debt/EBITDA
P/E
EV/FCF
EV/EBITDA
EV/EBIT
Objetivo 2025
Objetivo 2026
Objetivo 2027
Objetivo 2028
Objetivo 2029
9/24/20250.5%8.6%0.3x7x(10x)8x3x5x€20.94€20.69€19.83€22.09€24.62

Historial de Dividendos

Evolución de los dividendos por acción pagados durante los últimos 10 años.

Dividend Yield Actual
6.02%
Basado en 2025
Crecimiento Promedio
2.87%
CAGR últimos 10 años
Años Consecutivos
4
Años de crecimiento continuo
AñoDividendo por AcciónCrecimiento
2025
Actual
€0.98+8.89%
2024€0.90+28.57%
2023€0.70+11.11%
2022€0.63+5.00%
2021€0.60-34.78%
2020€0.92+0.00%
2019€0.92+5.75%
2018€0.87+14.47%
2017€0.76+0.00%
2016€0.76-
CAGR de Dividendos (2016 - 2025)
2.87%

Análisis de Outperformance

Rendimiento histórico vs índices principales y métricas de consistencia

Outperformance Promedio vs Índices

Rendimiento promedio comparado con los principales índices del mercado

Outperformance
Underperformance

Evolución del Rendimiento Año a Año

Rendimiento histórico con marcadores de mejores y peores años

🏆Best Year
2022
+39.44%
📉Worst Year
2020
-41.36%

Consistencia de Rendimiento

Porcentaje de años con rendimientos positivos

50%
5 of 10 years positive
Consistency ScoreGood
0%50%70%100%

BME:REP shows moderate consistency with positive returns in 50% of years.