AXA

CS · Euronext Paris · EUR

€42.07Change from previous close: +0.41%Absolute change: +€0.17

Close · October 2, 2026

At a glance

Revenue growth
+2.58%
2025 vs 2024
Net income growth
+24.23%
2025 vs 2024
Net margin
9.2%
2024: 7.6%

Financial data

Amounts in millions of EUR; per-share values in EUR; shares in millions.

Cash flow · Annual
Item20252024202320222021
Operating cash flow22,67011,8783,9928,7056,526
Depreciation and amortization-735-562-562-805870
Capital expenditure-428-476-419-398—
Investing cash flow-10,948-11,249-1,590-155-8,951
Financing cash flow-8,994-7,335-4,345-6,291-4,333
Dividends paid-4,979-4,759-4,184-3,966-3,754
Share repurchases-7,323-4,745-2,152-3,987—
Debt issued1,7507761,7503,361—
Debt repaid0.00.0-1,944-1,538—
Effect of exchange rates130280-151-464202
Net change in cash2,857-6,426-2,0941,308-3,145
Free cash flow22,24211,4023,5738,3076,176
Levered free cash flow11,438-1,4902,693-147,4466,402