Financial figures


At 31 December 2025

Sales
(€ million)

  • 2023: 56,017.00
  • 2024: 56,752.00
  • 2025: 56,877.00

Current operating profit from activities
(€ million)

  • 2023: 2,411.00
  • 2024: 2,535.00
  • 2025: 2,655.00

Net profit Att. to the Group
(€ million)

  • 2023: 1,040.00
  • 2024: 1,058.00
  • 2025: 1,138.00

Free cash-flow
(€ million – Before WCR)

  • 2023: 1,179.00
  • 2024: 1,268.00
  • 2025: 1,808.00

Dividend per share
(€)

  • 2023: 1.90
  • 2024: 2.00
  • 2025: 2.10

Net debt
(€)

  • 2023: 6,251.00
  • 2024: 6,066.00
  • 2025: 4,204.00