Siemens Healthineers revenue and financials

SHL · Xetra · EUR

€38.22Change from previous close: +0.39%Absolute change: +€0.15

Close · October 7, 2026

In the fiscal year ended September 2025, Siemens Healthineers reported revenue of €23.38B (+4.53% year over year). Net income was €2.14B, a net margin of 9.2%.

Annual revenue · 2025: €23.38B
  1. €13.55B2016
  2. €13.68B2017
  3. €13.43B2018
  4. €14.52B2019
  5. €14.46B2020
  6. €18B2021
  7. €21.71B2022
  8. €21.68B2023
  9. €22.36B2024
  10. €23.38B2025

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

At a glance

Revenue growth
+4.53%
FY to Sep 2025 vs FY to Sep 2024
Net income growth
+10.40%
FY to Sep 2025 vs FY to Sep 2024
Net margin
9.2%
FY to Sep 2024: 8.7%

Financial data

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

Cash flow · Annual
ItemFY to Sep 2025FY to Sep 2024FY to Sep 2023FY to Sep 2022FY to Sep 2021FY to Sep 2020FY to Sep 2019FY to Sep 2018FY to Sep 2017FY to Sep 2016
Operating cash flow3,5322,8262,1192,5042,9331,9281,6171,5951,9751,849
Depreciation and amortization1,1221,1351,3131,220913716509447511535
Capital expenditure-818-696-838-852-674-557-579-530-466-424
Investing cash flow-906-666-1,069-868-14,140-1,912-647-743-453-436
Financing cash flow-3,038-1,657-730-1,64411,839-249-603-489-1,532-1,279
Dividends paid-1,066-1,063-1,066-955-856-798-699-230-352-377
Share repurchases-3010.0-421-309-255-67.0-51.0-55.0——
Debt issued64.052.01,294——20.052.0—6.022.0
Debt repaid-1,261-263-232-169-155-121—-1.0——
Effect of exchange rates-97.0-66.0-19112234.0-31.035.0-28.0-12.0-1.0
Net change in cash-508436130114666-264401335-22.0133
Free cash flow2,7142,1301,2811,6522,259—————
Levered free cash flow2,4882,0311,6641,0885,042-1,3231,8072,4466031,222