BFF Bank S.p.A

Research BFF Bank S.p.A (2BF) on Bullrun: market cap EUR 601.08M, P/E 12.2. Explore financials, valuation history, model signals, and stock context.

Key Metrics

Valuation Snapshot

latest market cap is EUR 601.08M; P/E is 12.2.

Peer valuation comparison

Latest P/E is 12.24x versus a Financial Services sector median of 13.84x (11.5% below).

Latest P/E is 12.24x versus a Italy median of 17.69x (30.8% below).

Five-year financial history

YearRevenueNet incomeFree cash flowGross marginDiluted EPSCashTotal debtEquity
FY2025EUR 376.59MEUR 70.17Mn/an/an/aEUR 979.40MEUR 788.27MEUR 923.87M
FY2024n/aEUR 215.68Mn/an/a1.13EUR 153.69MEUR 750.35MEUR 876.81M
FY2023n/aEUR 171.66Mn/an/a0.91EUR 257.21Mn/an/a
FY2022n/aEUR 232.05Mn/an/a1.25EUR 634.88Mn/an/a

Valuation history

YearSnapshot dateMarket capP/EDividend yieldAnnual dividend/share
20262026-08-10EUR 601.08M12.2n/a0

Dividend history

Latest trailing dividend snapshot: annual dividend/share 0 EUR.

YearDividends/share
FY20240.54 EUR
FY20230.86 EUR
FY20221.05 EUR

About BFF Bank S.p.A

BFF Bank S.p.A. engages in non-recourse factoring and credit management activities towards public administration bodies and private hospitals in Italy, Croatia, the Czech Republic, France, Greece, Poland, Portugal, Slovakia, and Spain. The company offers factoring and lending securities services, payment services, and online deposit account services.

Related stock research

Other Financial Services stocks

Frequently asked questions

What is BFF Bank S.p.A's market cap?

BFF Bank S.p.A's market capitalization is EUR 601.08M.

What is BFF Bank S.p.A's P/E ratio?

BFF Bank S.p.A's price-to-earnings (P/E) ratio is 12.2.

What does BFF Bank S.p.A do?

BFF Bank S.p.A. engages in non-recourse factoring and credit management activities towards public administration bodies and private hospitals in Italy, Croatia, the Czech Republic, France, Greece, Poland, Portugal, Slovakia, and Spain. The company offers factoring and lending securities services, payment services, and online deposit account services. It also undertakes custodian banking for investment funds and related services, such as global custody, fund accounting, transfer agent services for national managers, pension, mutual, and alternative funds.