Safran (SAF)

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SAFEuronext Paris
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Financial charts

Revenue

Total cash / debt

CashTotal debt

Financial statements

7 annual periodsNewest to oldest
2025202420232022202120202019
Revenue€31.66B€28.15B€23.65B€19.52B€15.13B€16.63B€25.10B
Operating expenses€10.04B€9.28B€7.88B€6.66B
Operating income€4.31B€4.19B€2.80B€2.04B€864.0M€927.0M€3.84B
Operating margin13.61%14.89%11.83%10.46%5.71%5.57%15.29%
EBITDA€11.88B€676.0M€6.39B−€1.41B
EBITDA margin37.53%2.40%27.03%−7.20%
Net income€7.29B−€575.0M€3.52B−€2.43B€68.0M€386.0M€2.51B
Net profit margin23.02%−2.04%14.88%−12.43%0.45%2.32%10.01%
Basic EPSper basic share€17.17-€1.60€8.24-€5.76€0.10€0.83€5.69
Diluted EPSper diluted share€17.17-€1.60€8.07-€5.76€0.10€0.80€5.63

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