BASF

BAS · Xetra · EUR

49,92 €Variación respecto al cierre anterior: +1,06 %Variación absoluta: +0,52 €

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
−2,91 %
2025 frente a 2024
Crecimiento del beneficio neto
+24,73 %
2025 frente a 2024
Margen neto
2,7 %
2024: 2,1 %

Datos financieros

Importes en millones de EUR; valores por acción en EUR; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total83.86781.76676.17476.44177.66881.41980.41579.35982.44781.74077.39582.603
Activo corriente38.78537.60231.68433.08831.89933.19131.23231.71833.75334.83931.47234.440
Efectivo y equivalentes7.7963.0892.6701.8592.5172.3142.9142.5722.2292.7862.6242.291
Inversiones a corto plazo91,091,089,033,056,060,067,033,059,056,053,0226
Cuentas por cobrar17.04017.30610.08813.71215.24716.55414.38914.85516.83117.72812.36016.848
Existencias13.81412.90812.16813.00313.63113.86913.68114.25814.63314.26913.87615.076
Inmovilizado material neto25.85425.70520.32524.93825.75626.65517.77325.67725.35924.57717.63923.881
Fondo de comercio——6.553———7.720———7.499—
Otros activos intangibles9.8479.8633.1399.77410.93511.6214.26311.70712.07512.1964.71712.886
Inversiones a largo plazo5.7495.0626.0485.7115.7996.3906.9757.8788.5537.9417.6718.187
Pasivo corriente20.91219.65316.41117.24918.18118.10717.03916.98819.91716.70515.87117.297
Proveedores6.2476.1635.4844.9995.8526.5586.9235.8546.7766.6876.7415.900
Deuda a largo plazo18.82719.91018.48818.92818.96020.59919.13220.70918.70220.72217.10117.680
Deuda total25.31223.66923.20924.62623.52324.49123.99523.97623.58822.754——
Pasivo total46.47146.29341.83742.52744.16444.06843.53243.31445.72643.18440.75042.333
Patrimonio neto (incl. minoritarios)37.39635.47334.33733.91433.50437.35136.88336.04536.72138.55636.64540.270
Reservas31.86630.36629.93129.91029.74631.68830.88331.65431.27733.88232.51734.164
Intereses minoritarios1.0771.1901.1431.1531.1471.2661.2841.3081.3841.3891.3681.405