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 · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow10,8583,36110,4718,3495,9602,56312,5077,1719,0072,16916,1509,496
Depreciation and amortization3,0973,0013,6813,1193,1513,0863,9032,9133,0802,3923,8333,007
Capital expenditure-4,232-4,621-2,956-3,812-4,766-4,222-2,242-4,110-3,699-3,420-3,832-3,808
Investing cash flow-3,276-4,312-3,434-3,203-6,689-4,805-3,745-5,562-4,558-3,467-632-4,987
Financing cash flow-5,268506-4,244-2,408-2,152-1,130-7,937575-6,821-242-13,039-4,842
Dividends paid-2,134-2,277-2,282-2,242-1,921-1,979-2,080-1,986-1,903-2,062-1,923-1,984
Share repurchases-1,511-775-1,506-2,349-1,707-2,152-812-2,005-3,629-2,006-2,964-2,098
Debt issued84.03,5846113,6822573,58191.03,9914,3193,578-21.047.0
Debt repaid-1,994-1,283-1,985-1,962-356—-4,136—-5,453—-8,458-446
Effect of exchange rates-329-64.0-6.0253468365-653277-57.0-83.053.0-508
Net change in cash1,985-5092,7872,991-2,413-3,0071722,461-2,429-1,6232,532-841
Free cash flow6,626-1,2607,5154,5371,194-1,65910,2653,0615,308-1,25112,3185,688
Levered free cash flow6,113-6,6279,4974,5482,634-2,4457,8182,1756,416-4,13315,4823,592