Saudi Arabian Oil revenue and financials

2222 · Tadawul · SAR

SAR 25.74Change from previous close: −0.23%Absolute change: −SAR 0.06

Close · October 7, 2026

In the fiscal year ended December 2025, Saudi Arabian Oil reported revenue of SAR 1.67T (−7.24% year over year). Net income was SAR 348.04B, a net margin of 20.8%.

Annual revenue · 2025: SAR 1.67T
  1. SAR 504.6B2016
  2. SAR 986.16B2017
  3. SAR 1.35T2018
  4. SAR 1.24T2019
  5. SAR 862.09B2020
  6. SAR 1.5T2021
  7. SAR 2.27T2022
  8. SAR 1.86T2023
  9. SAR 1.8T2024
  10. SAR 1.67T2025

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

At a glance

Revenue growth
−7.24%
2025 vs 2024
Net income growth
−11.64%
2025 vs 2024
Net margin
20.8%
2024: 21.9%

Financial data

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

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow510,798508,888537,814698,152522,601285,297416,529453,701333,607109,411
Depreciation and amortization97,49794,37596,78091,31785,34874,46950,33841,38336,66733,495
Capital expenditure-190,444-188,890-158,308-141,161-119,645-101,030-122,882-131,766-121,955-103,346
Investing cash flow-203,902-2,861-54,019-389,009-135,741-20,899-177,144-131,205-118,629-116,900
Financing cash flow-280,439-488,358-510,869-382,675-294,513-234,872-244,831-220,586-181,8112,021
Dividends paid-320,447-465,918-366,674-281,318-281,305-261,184-274,388-217,500-187,849-11,250
Share repurchases0.0-3,7500.0———-3,750———
Debt issued58,12555,81132,0579,08242,21387,52051,96011,66020,24518,007
Debt repaid-30,181-48,239-148,134-144,628-85,706-52,993-12,902-11,096-11,321-3,244
Net change in cash26,45717,669-27,074-73,53292,34729,526-5,446101,91033,167-5,468
Free cash flow320,354319,998379,506556,991402,956—————
Levered free cash flow390,704414,063458,481622,984428,099162,168397,281387,820253,608—