TotalEnergies

TTE · Euronext Paris · EUR

€74.46Change from previous close: −0.07%Absolute change: −€0.05

Close · October 2, 2026

At a glance

Revenue growth
−6.78%
2025 vs 2024
Net income growth
−16.70%
2025 vs 2024
Net margin
7.2%
2024: 8.1%

Financial data

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

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow27,34330,85440,67947,36730,41014,80324,68524,70322,31916,521
Depreciation and amortization13,03712,28812,69313,68713,58413,90915,48112,81011,94912,194
Capital expenditure-15,756-13,471-16,478-13,699-12,343-10,764-11,810-17,080-13,767-18,106
Investing cash flow-18,131-17,332-16,454-15,116-13,656-13,079-17,177-14,946-11,632-17,653
Financing cash flow-9,934-14,425-29,730-19,272-25,4971,398-7,709-13,925-5,5403,532
Dividends paid-8,424-8,031-7,831-7,604-8,541-7,003-7,012-5,238-2,919-2,794
Share repurchases-8,853-8,452-10,248-7,711-1,823-611-2,810-4,328——
Debt issued7,9817,5321301,108—15,8008,1316492,2773,576
Debt repaid-4,153-5,142-14,289-6,073-11,215-6,501-5,829-3,990-7,175-3,260
Effect of exchange rates1,080-516-258-1,295-1,183794-354-1,1103,441-1,072
Net change in cash358-1,419-5,76311,684-9,9263,916-555-5,2788,5881,328
Free cash flow11,58717,38324,20133,66818,067—————
Levered free cash flow14,23312,27516,43033,55814,0317,28413,8049,9524,917-2,056