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Repsol, S.A. REPYY OTC

Other OTC • Energy • Oil & Gas Integrated • ES • USD

SharesGrow Score
57/100
3/7 Pass
SharesGrow Intrinsic Value
N/A
Negative cash flow

Repsol, S.A. (REPYY) generated $1.38B in operating cash flow for quarter ending 2025-12-31. After capital expenditures of $1B, free cash flow was $380.3M.

Free cash flow margin was 2.8% of revenue. Cash conversion ratio was 1.93x, indicating earnings are backed by cash.

The company returned $1.02B in share buybacks to shareholders during the quarter.

Criteria supported by this page:

  • HEALTH (83/100, Pass) — demonstrate the company can comfortably service its debt
  • MOAT (45/100, Partial) — cash flow generation is present but not at levels indicating a wide moat
  • INCOME (30/100) — Cash conversion ratio was 1.93x confirms earnings are backed by real cash flow

Overall SharesGrow Score: 57/100 with 3/7 criteria passed.

SharesGrow 7-Criteria Score
57/100
SG Score
View full scorecard →
VALUE
85/100
Price-to-Earnings & upside
→ Valuation
~
FUTURE
40/100
Analyst consensus
→ Forecast
PAST
100/100
→ Income
HEALTH
83/100
Debt-to-Equity & liquidity
Proven by this page
~
MOAT
45/100
Proven by this page
GROWTH
15/100
→ Income
INCOME
30/100
→ Income
Repsol, S.A. Cash Flow History
Metric TTM Q4 FY2025 Q3 FY2025 Q2 FY2025 Q1 FY2025
Operating Cash Flow $5.16B$1.38B$1.19B$1.56B$1.02B
Capital Expenditure $-3.75B$-1B$-920M$-1.01B$-815M
Free Cash Flow $1.41B$380.3M$273.73M$548M$209M
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