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Coca-Cola Europacific Partners (CCEP) Stock Buyback History

TTM buyback yield 4.16% · Shareholder yield (TTM) 4.16%.

TTM buyback yield

4.16%

Shareholder yield (TTM)

4.16%

5Y share count change

0.0%

TTM buyback spend

$1.44B

SBC coverage (TTM)

21.87x

YoY change in spend

N/A

5Y CAGR of spend

+50.8%

Peak year (2016)

$2.99B

Cumulative spend

$10.19B

TTM metrics calculated from the four most recent reported quarters, ending (reported ).

Key takeaways

  • Coca-Cola Europacific Partners (CCEP) repurchased about $1.44B of stock over the trailing twelve months.
  • Diluted share count is roughly flat (0.0%) over the last ~5 fiscal years — buybacks are offsetting dilution but not shrinking the float.
  • TTM buyback ÷ stock-based-comp ratio of 21.87× — repurchases more than cover SBC dilution.
  • Cash buyback spend has compounded at +50.8% per year over the latest 5-year window.
  • TTM repurchases used about 56% of free cash flow remaining after dividends.

Buyback context per fiscal year

Annual repurchases alongside stock-based compensation, diluted share count and the year-over-year change — useful for SBC-coverage and dilution-offset reading at a glance.

YearBuybacksSBCNetShares (dil.)YoY sharesBuyback yield
2025$1.00B$0.00$1.00B0.46B-1.1%2.90%
2024$0.00$45.00M−$45.00M0.46B0.4%
2023$0.00$57.00M−$57.00M0.46B0.2%
2022$0.00$33.00M−$33.00M0.46B0.2%
2021$0.00$16.00M−$16.00M0.46B0.2%
2020$129.00M$14.00M$115.00M0.46B-2.8%0.70%
2019$1.00B$15.00M$987.09M0.47B-3.9%4.79%
2018$502.00M$17.00M$485.00M0.49B-0.2%2.58%
2017$0.00$14.00M−$14.00M0.49B27.0%
2016$2.99B$42.00M$2.95B0.39B63.8%20.59%
2015$534.00M$39.00M$495.00M0.23B-6.7%5.08%
2014$673.00M$22.00M$651.00M0.25B-7.7%7.46%
2013$730.51M$23.96M$706.54M0.27B-9.3%8.59%
2012$591.59M$26.46M$565.13M0.30B-8.0%4.23%
2011$617.24M$33.18M$584.06M0.33B-3.8%4.92%
2010$150.38M$7.52M$142.86M0.34B-31.0%1.19%
2009$162.62M$56.53M$106.09M0.49B1.6%2.24%
2008$0.00$31.61M−$31.61M0.48B-0.6%
2007$0.00$0.00$0.000.49B2.7%
2006$0.00$0.00$0.000.47B-0.2%
2005$0.00$0.00$0.000.48B0.6%
2004$0.00$0.00$0.000.47B2.6%
2003$0.00$0.00$0.000.46B0.7%
2002$0.00$0.00$0.000.46B6.0%
2001$8.99M$0.00$8.99M0.43B0.1%0.05%
2000$132.03M$0.00$132.03M0.43B-1.0%0.81%
1999$80.50M$0.00$80.50M0.44B8.2%0.47%
1998$387.96M$0.00$387.96M0.40B1.7%1.61%
1997$0.00$0.00$0.000.40B5.6%
1996$147.04M$0.00$147.04M0.38B3.09%
1995$31.98M$0.00$31.98M1.18%
1994$22.83M$0.00$22.83M0.61%
1993$5.38M$0.00$5.38M0.16%
1992$0.00$0.00$0.00
1991$186.78M$0.00$186.78M7.22%
1990$98.08M$0.00$98.08M3.52%

Cash buyback spend (USD) — annual & quarterly history

Trailing-twelve-month and per-period cash repurchases for Coca-Cola Europacific Partners (CCEP) from the consolidated cash flow statement (line: common stock repurchased), in USD as filed.

Cash buyback spend over time for Coca-Cola Europacific Partners (CCEP)

Per-period cash repurchases

Cash buyback spend annual + quarterly history for Coca-Cola Europacific Partners (CCEP)

Fiscal yearPeriod endedReportedBuyback SpendYoYYoY change
2025$1.00B+$1.00B
2024$0$0
2023$0$0
2022$0$0
2021$0-100.0%-$129.00M
2020$129.00M-87.1%-$873.09M
2019$1.00B+99.6%+$500.09M
2018$502.00M+$502.00M
2017$0-100.0%-$2.99B
2016$2.99B+459.9%+$2.46B
2015$534.00M-20.7%-$139.00M
2014$673.00M-7.9%-$57.51M
2013$730.51M+23.5%+$138.92M
2012$591.59M-4.2%-$25.65M
2011$617.24M+310.5%+$466.86M
2010$150.38M-7.5%-$12.24M
2009$162.62M+$162.62M
2008$0$0
2007$0$0
2006$0$0
2005$0$0
2004$0$0
2003$0$0
2002$0-100.0%-$8.99M
2001$8.99M-93.2%-$123.04M
2000$132.03M+64.0%+$51.53M
1999$80.50M-79.3%-$307.46M
1998$387.96M+$387.96M
1997$0-100.0%-$147.04M
1996$147.04M+359.8%+$115.06M
1995$31.98M+40.0%+$9.14M
1994$22.83M+324.6%+$17.46M
1993$5.38M+$5.38M
1992$0-100.0%-$186.78M
1991$186.78M+90.4%+$88.70M
1990$98.08M

As of the 2025 fiscal year, Coca-Cola Europacific Partners (CCEP) reported buyback spend of $1.00B.

Coca-Cola Europacific Partners buyback spend compound annual growth for the 2020–2025 (5 years) window is +50.8%, with the latest reading among the more recent periods of the dataset.

Coca-Cola Europacific Partners buyback spend peaked at $2.99B in 2016; the latest annual figure is $1.00B in 2025 (66.4% below peak).

The highest annual buyback spend of $2.99B was reported in 2016. The lowest in the available history was $0 in 1992.

Coca-Cola Europacific Partners (CCEP) sits 3rd of 8 Consumer Defensive peers we track on this metric, against a peer median of $951.50M.

Coca-Cola Europacific Partners Buyback Spend 2025: $1.00B

Coca-Cola Europacific Partners buyback spend in 2025 was $1.00B.

Coca-Cola Europacific Partners Buyback Spend 2024: $0

Coca-Cola Europacific Partners buyback spend in 2024 was $0.

Coca-Cola Europacific Partners Buyback Spend 2023: $0

Coca-Cola Europacific Partners buyback spend in 2023 was $0.

Coca-Cola Europacific Partners Buyback Spend 2022: $0

Coca-Cola Europacific Partners buyback spend in 2022 was $0.

Coca-Cola Europacific Partners Buyback Spend 2021: $0

Coca-Cola Europacific Partners buyback spend in 2021 was $0.

See more financial history for Coca-Cola Europacific Partners (CCEP).

Sector peers by buyback spend

Companies in the same sector as Coca-Cola Europacific Partners, ranked by their latest buyback spend.

CompanyBuyback SpendSector
Walmart (WMT)$8.09BConsumer Defensive
Procter & Gamble (PG)$6.50BConsumer Defensive
PepsiCo (PEP)$1.00BConsumer Defensive
Altria Group (MO)$1.00BConsumer Defensive
Costco (COST)$903.00MConsumer Defensive
Coca-Cola (KO)$746.00MConsumer Defensive
Monster Beverage (MNST)$103.65MConsumer Defensive
Philip Morris International (PM)$0Consumer Defensive

Share count history

Diluted weighted-average shares drive the EPS denominator and per-share capital-return maths. A falling diluted share count means buybacks are outpacing dilution from stock-based compensation and option exercises.

Diluted vs basic shares (annual)

Year-over-year change in diluted shares

Green is fewer shares vs the prior fiscal year (net repurchase); red is growth (dilution). The earliest year shown has no prior year to compare.

Dividend & buyback yield over time

Stacked annual yields — buyback yield (TTM cash repurchases ÷ market cap) plus dividend yield from the same fiscal-year-end key-metrics period — show how total cash return per dollar of equity has evolved.

Buybacks vs stock-based compensation

Annual cash repurchases set against stock-based compensation. Coverage above 1× means buybacks fully offset the equity dilution from SBC. TTM coverage: 21.87×.

Capital allocation mix

How Coca-Cola Europacific Partners splits cash returned to shareholders between dividends and buybacks, plus the headroom on free cash flow that's still available for additional repurchases.

Buybacks vs dividends (share of cash returned)

Buyback capacity (TTM)

Free cash flow minus dividends paid versus actual TTM repurchases — the headroom bar shows how much of post-dividend FCF is still being deployed elsewhere.

TTM buybacks vs headroom (FCF − dividends, TTM)56% of headroom

Headroom $2.57B (TTM FCF − TTM dividends, clamped at zero).

Data & methodology

Where do buyback, dividend and compensation figures come from?

Cash buyback spend (common stock repurchased), dividends paid and stock-based compensation come from Coca-Cola Europacific Partners's consolidated cash flow statements — quarterly 10-Q and annual 10-K SEC filings, in USD as reported.

How are diluted shares and yields calculated?

Diluted weighted-average share counts come from the income statement (EPS denominator). Trailing twelve-month (TTM) aggregates sum the four most recent reported quarters. Buyback and dividend yields divide TTM cash flows by market capitalisation at the latest quarter-end.

How is buyback capacity defined?

Capacity compares TTM repurchases to free cash flow after dividends: operating cash flow minus capital expenditure, minus dividends paid, versus actual buybacks over the same trailing window.

Is this investment advice?

No. Figures are for informational and educational use only. Past buybacks and dividends do not predict future returns.

Frequently asked questions

Does Coca-Cola Europacific Partners buy back its own stock?

Yes, Coca-Cola Europacific Partners (CCEP) has repurchased shares in recent periods. See the history table and charts on this page for amounts and trends.

How much does Coca-Cola Europacific Partners spend on share buybacks?

Trailing twelve months (TTM) buyback spend is about $1.44B (sum of the last four quarterly cash-flow periods in our data). Figures are illustrative; verify in filings.

What is Coca-Cola Europacific Partners's buyback yield?

TTM buyback yield is about 4.16% (TTM buyback spend divided by market cap at the latest quarter-end in our data).

What is Coca-Cola Europacific Partners's shareholder yield?

Shareholder yield combines dividend yield and buyback yield. For the latest period we show approximately 4.16% combined (TTM-based where available).

Is Coca-Cola Europacific Partners diluting shareholders?

Compare stock-based compensation (SBC) to buybacks in the chart above. Net effect varies by year; see annual buyback vs SBC bars and the history table.

How has Coca-Cola Europacific Partners's share count changed?

Diluted weighted average shares changed by about 0.0% over roughly five fiscal years (annual income statement data).

What is Coca-Cola Europacific Partners's buyback spend?

Latest reported buyback spend for Coca-Cola Europacific Partners (CCEP) is $1.44B (period ending December 31, 2025).

What is the long-term growth rate of Coca-Cola Europacific Partners buyback spend?

Coca-Cola Europacific Partners (CCEP) buyback spend compound annual growth rate is +50.8% over the most recent 5 years available.

When did Coca-Cola Europacific Partners buyback spend hit its highest annual value?

Coca-Cola Europacific Partners buyback spend reached its highest annual value of $2.99B in 2016.

What was Coca-Cola Europacific Partners buyback spend in 2024?

Coca-Cola Europacific Partners (CCEP) buyback spend in 2024 was $0.

What was Coca-Cola Europacific Partners buyback spend in 2025?

Coca-Cola Europacific Partners (CCEP) buyback spend in 2025 was $1.00B.

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