Sodexo revenue and financials

SW · Euronext Paris · EUR

€54.50Change from previous close: +0.83%Absolute change: +€0.45

Close · October 7, 2026

Annual revenue · 2024: €23.8B
  1. €20.26B2022
  2. €22.64B2023
  3. €23.8B2024

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

Financial data

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

Cash flow · Annual
ItemFY to Aug 2025FY to Aug 2024FY to Aug 2023FY to Aug 2022
Operating cash flow—1,3201,3331,035
Depreciation and amortization—470458457
Capital expenditure—-358-338-266
Investing cash flow—-1,047-483-386
Financing cash flow—-1,352-646-1,109
Dividends paid—-1,373-352-294
Share repurchases—-52.0-57.0-13.0
Debt issued—389544111
Debt repaid—-1,212-550-699
Effect of exchange rates—-17.0-191145
Net change in cash—-1,079204-460
Free cash flow—962995769