Your alerts

Suscribe to receive on your e-mail most of the financial news of PPR group

Virtual binder

Your selected documents
0 documents
Find all the financial information dedicated to shareholders, investors and analysts.

2011 Key Figures

  • €12.2 billion in revenue
  • €1.6 billion in recurring operating income
  • €1.1 billion of net income, Group share, from continuing operations, excluding non recurring items
  • €934 million of free cash flow from operations

Contact Us

By phone :
+33 (0)1 45 64 65 64

By e-mail :
actionnaire@ppr.com