Campari, NL0015435975

Davide Campari-Milano N.V. stock (NL0015435975): Earnings and valuation in focus for US investors

09.05.2026 - 10:01:56 | ad-hoc-news.de

Davide Campari-Milano N.V. reported its latest earnings on May 6, 2026, drawing attention to revenue trends, profitability and valuation for US?listed shares.

Campari, NL0015435975
Campari, NL0015435975

Davide Campari-Milano N.V. reported its latest earnings on May 6, 2026, with results highlighting both solid top?line growth and pressure on margins, according to a summary of the release on MarketBeat.MarketBeat as of 05/06/2026 The group’s revenue for the 12 months through 2024 reached about 3.07 billion euros, up roughly 5.2% versus 2.92 billion euros in 2023, while net income fell by about 39% to around 202 million euros, reflecting higher costs and a more challenging operating environment.StockAnalysis as of 05/09/2026

As of early May 2026, Davide Campari?Milano’s US?listed OTC shares traded around 7.60 dollars, within a 52?week range of about 5.25 to 9.51 dollars, according to StockAnalysis.StockAnalysis as of 05/09/2026 On the Italian exchange, the stock has moved in a volatile band over the past year, with a 12?month range of roughly 5.07 to 7.86 euros, underscoring the sensitivity of the name to macro and sector?specific factors.Marketscreener as of 05/09/2026

As of: 09.05.2026

By the editorial team – specialized in equity coverage.

At a glance

  • Name: Davide Campari?Milano N.V.
  • Sector/industry: Beverages (alcoholic and non?alcoholic)
  • Headquarters/country: Italy
  • Core markets: Europe, Americas, Asia?Pacific
  • Key revenue drivers: Premium spirits brands, international distribution network
  • Home exchange/listing venue: Borsa Italiana (CPR), OTC in the US (DVCMY)
  • Trading currency: Euro (Italy), US dollar (OTC)

Davide Campari?Milano: core business model

Davide Campari?Milano N.V. operates as a global producer and distributor of alcoholic and non?alcoholic beverages, with a portfolio anchored in premium spirits such as Campari, Aperol, Wild Turkey and SKYY Vodka.JustETF as of 05/09/2026 The group leverages a vertically integrated model that spans brand development, production, marketing and distribution, allowing it to capture value across the supply chain and to adapt quickly to shifting consumer preferences in key regions.Campari Group as of 05/09/2026

The company’s strategy emphasizes premiumization and geographic diversification, with a growing footprint in the Americas and Asia?Pacific alongside a strong base in Europe.Campari Group IR as of 05/09/2026 By focusing on higher?margin brands and expanding in on?trade channels such as bars and restaurants, Davide Campari?Milano aims to sustain long?term revenue growth even in periods of economic uncertainty.Marketscreener as of 05/09/2026

Main revenue and product drivers for Davide Campari?Milano

Revenue for Davide Campari?Milano is driven by a mix of established global brands and emerging labels, with the Campari and Aperol franchises representing a core pillar of the portfolio.JustETF as of 05/09/2026 In 2024, total revenue of about 3.07 billion euros reflected mid?single?digit growth, supported by volume gains in key markets and selective price increases that helped offset inflationary pressures on input costs.StockAnalysis as of 05/09/2026

Profitability, however, has come under pressure, with net income of roughly 202 million euros in 2024 down about 39% from the prior year, according to StockAnalysis.StockAnalysis as of 05/09/2026 This decline reflects higher marketing and logistics expenses, as well as a more competitive landscape in the premium spirits segment, which has prompted the group to invest in brand building and digital?first marketing initiatives.Marketscreener as of 05/09/2026

Valuation and market sentiment

Valuation metrics for Davide Campari?Milano suggest a premium versus some peers, with a trailing price?to?earnings ratio around 21–22 on the US OTC listing and a forward P/E in the low?20s on the Italian exchange, according to StockAnalysis and Marketscreener.StockAnalysis as of 05/09/2026Marketscreener as of 05/09/2026 The group’s market capitalization stands at roughly 6.7–9.2 billion euros, depending on the data source and exchange, reflecting its position as a mid?cap player in the global beverage sector.StockAnalysis as of 05/09/2026Marketscreener as of 05/09/2026

Dividend?oriented investors may note a modest yield of about 0.5–1.7%, depending on the calculation method and currency, with expectations for a per?share dividend of roughly 0.11 euros over the next 12 months, according to DivvyDiary.DivvyDiary as of 05/09/2026 The stock has also exhibited relatively high volatility, with one?year volatility above 30% and a maximum drawdown of more than 60% over the past five years, underscoring the risk–return profile for US investors.JustETF as of 05/09/2026

Read more

Additional news and developments on the stock can be explored via the linked overview pages.

More news on this stockInvestor relations

Conclusion

Davide Campari?Milano N.V. remains a notable player in the global premium spirits and beverage market, with a diversified portfolio and a growing international footprint that support its long?term growth narrative.Campari Group as of 05/09/2026 Recent earnings show revenue growth but also highlight margin pressure, which may keep investors focused on cost discipline and pricing power in the quarters ahead.StockAnalysis as of 05/09/2026

For US investors, the OTC listing provides access to a European beverage name with exposure to trends such as premiumization and on?trade recovery, but the stock’s volatility and relatively high valuation multiples imply a higher?risk profile compared with more defensive consumer staples.Marketscreener as of 05/09/2026JustETF as of 05/09/2026 As with any equity investment, prospective shareholders should weigh the company’s growth prospects against its earnings volatility, competitive risks and macroeconomic sensitivity before making decisions.Campari Group IR as of 05/09/2026

Disclaimer: This article does not constitute investment advice. Stocks are volatile financial instruments.

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