EssilorLuxottica revenue and financials

EL · Euronext Paris · EUR

€145.25Change from previous close: −0.99%Absolute change: −€1.45

Close · October 7, 2026

In the fiscal year ended December 2025, EssilorLuxottica reported revenue of €28.49B (+7.48% year over year). Net income was €2.32B, a net margin of 8.1%.

Annual revenue · 2025: €28.49B
  1. €7.12B2016
  2. €9.18B2017
  3. €10.83B2018
  4. €17.39B2019
  5. €14.43B2020
  6. €19.82B2021
  7. €24.49B2022
  8. €25.4B2023
  9. €26.51B2024
  10. €28.49B2025

Fiscal year ending in December. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+7.48%
2025 vs 2024
Net income growth
−1.87%
2025 vs 2024
Net margin
8.1%
2024: 8.9%

Financial data

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

Cash flow · Quarterly
ItemQ2 2026Q4 2025Q2 2025Q4 2024Q2 2024Q4 2023Q2 2023Q4 2022Q2 2022Q4 2021
Operating cash flow2,1693,1162,1752,7392,1352,6852,1762,6392,1442,640
Depreciation and amortization1,5841,5451,5561,5361,5131,4841,4631,4881,4331,375
Capital expenditure-647-796-729-822-700-780-751-804-768-612
Investing cash flow-1,009-1,704-849-2,846-776-813-911-1,066-1,553-7,717
Financing cash flow-2,850-518-536177-1,824-929-1,496-3,250-330-1,154
Dividends paid-1,6690.0-5470.0-1,1630.0-4870.0-4540.0
Share repurchases-951—-420-274—-270-1.0-93.0-338-317
Debt issued1,725-63.02,5581,1131,270-113551-1,4511,451-34.0
Debt repaid-1,761-475-1,995-476-1,764-493-1,471-995-922-743
Effect of exchange rates76.0-137-25416.072.0-72.0-42.0-109192102
Net change in cash-1,61375853586.0-393871-273-1,786452-6,129
Free cash flow1,5222,3201,4461,9171,4351,9051,4251,8351,3762,028
Levered free cash flow1,2822,0011,2751,7561,4441,8151,3521,4251,0952,434