DHL

DHL · Xetra · EUR

€56.72Change from previous close: +1.76%Absolute change: +€0.98

Close · October 2, 2026

At a glance

Revenue growth
−1.58%
2025 vs 2024
Net income growth
+5.07%
2025 vs 2024
Net margin
4.2%
2024: 3.9%

Financial data

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

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow9,1198,7229,25810,9659,9937,6996,0495,7963,2972,439
Depreciation and amortization4,7504,6254,3694,0563,6943,6573,4963,1451,3671,266
Capital expenditure-2,795-2,936-3,381-3,912-3,736-2,922-3,612-2,649-2,203-1,966
Investing cash flow-4,720-2,392-2,181-3,179-4,824-3,640-2,140-2,777-2,091-1,643
Financing cash flow-4,418-6,347-6,898-7,411-6,224-2,250-4,112-3,039-1,087-1,233
Dividends paid-2,123-2,169-2,205-2,205-1,673-1,422-1,419-1,409-1,270-1,027
Share repurchases-1,446-1,234-986-1,099-1,115-45.0-11.0-44.0-148-836
Debt issued4,4591,5155461.01472,5113491,3141,4751,263
Debt repaid-4,008-3,336-3,099-3,210-2,903-2,488-2,319-2,285-821-153
Effect of exchange rates-224-13.0-320-107104-19215.0-65.0-91.0-66.0
Net change in cash-243-30.0-141259-9511,620-155-11828.0-501
Free cash flow6,3245,7865,8777,0536,257—————
Levered free cash flow4,9413,8334,0854,4424,4533,3881,2321,8001,1761,145