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 · Quarterly
ItemQ2 2026Q4 2025Q2 2025Q4 2024Q2 2024Q2 2023Q4 2022Q2 2022Q4 2021
Operating cash flow7,9586,96215,7085,2666,6124,2125,3683,337-568
Depreciation and amortization-415-352-383-207-355-299-465-340628
Investing cash flow-4,060-4,877-6,071-6,873-4,376133-1,6641,509-4,818
Financing cash flow-7,920-3,922-5,072-1,499-5,836-4,683-1,175-5,116-1,242
Dividends paid-4,998-193-4,786-180-4,579-3,938-110-3,856-251
Debt issued7507501,0008.07681,7658572,50419.0
Effect of exchange rates9721,024-894-23751791.0-235-229-11.0
Net change in cash-3,049-8143,671-3,343-3,083-2811,620-312-1,899
Free cash flow7,7846,71715,5254,9786,4244,0705,0913,216-757
Levered free cash flow-37,15217,2516817,373-8,863-2,777-16.9-147,429138,580