Orange

ORA · Euronext Paris · EUR

€13.98Change from previous close: +1.19%Absolute change: +€0.16

Close · October 2, 2026

At a glance

Revenue growth
+0.34%
2025 vs 2024
Net income growth
−77.11%
2025 vs 2024
Net margin
1.3%
2024: 5.8%

Financial data

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

Cash flow · Annual
Item20252024202320222021
Operating cash flow10,78010,19512,05411,23511,236
Depreciation and amortization7,1866,5746,6066,2368,639
Capital expenditure-7,322-6,710-7,829-8,777-8,749
Investing cash flow-6,442-1,460-7,008-10,448-5,976
Financing cash flow-875-5,726-5,465-3,343-4,834
Dividends paid-2,163-2,090-2,039-2,074-2,365
Share repurchases-487-12.0-15.0-451-510
Debt issued7,7831,2431,4981,8093,666
Debt repaid-5,025-4,502-4,252-3,007-6,197
Effect of exchange rates-62.013932.0-61.050.0
Net change in cash3,4013,148-386-2,617476
Free cash flow3,4583,4854,2252,4582,487
Levered free cash flow2,3501,3952,9771,4041,877