Basf SE (BAS)

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BASXetra
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Financial charts

Revenue

Net income

Total cash / debt

CashTotal debt

Financial statements

16 annual periodsNewest to oldest
2025202420232022202120202019201820172016201520142013201220112010
Revenue€59.66B€61.44B€68.90B€87.33B€78.60B€59.15B€59.32B€62.67B€64.47B€57.55B€70.45B€74.33B€73.97B€78.73B€73.50B€63.87B
Gross profit€14.36B€15.22B€16.70B€21.07B€19.80B€15.11B€16.25B€18.36B€20.55B€18.29B€19.08B€18.49B€18.49B€20.71B€19.51B€18.56B
Gross margin24.07%24.77%24.24%24.12%25.19%25.54%27.40%29.29%31.87%31.77%27.08%24.87%25.00%26.30%26.55%29.06%
Research & development€2.00B€1.97B€2.13B€2.30B€2.22B
Operating expenses€12.72B€13.41B€14.46B€14.52B€12.12B€15.81B€6.26B€11.49B€12.02B€12.01B€12.83B€10.86B€11.22B€11.73B€10.93B€10.57B
Operating income€1.63B€1.81B€2.24B€6.55B€7.68B−€704.0M€10.00B€6.86B€8.52B€6.28B€6.25B€7.63B€7.27B€8.98B€8.59B€8.00B
Operating margin2.74%2.95%3.25%7.50%9.77%−1.19%16.85%10.95%13.22%10.90%8.87%10.26%9.83%11.40%11.68%12.52%
EBITDA€7.59B€7.54B€7.33B€6.11B
EBITDA margin12.73%12.28%10.64%7.00%
Net income€1.73B€1.45B€379.0M−€391.0M€5.98B−€1.07B€8.49B€4.98B€6.35B€4.25B€4.30B€5.49B€5.17B€5.22B€6.60B€5.07B
Net profit margin2.89%2.36%0.55%−0.45%7.61%−1.82%14.31%7.94%9.85%7.39%6.11%7.39%6.99%6.63%8.98%7.94%
Basic EPSper basic share€1.82€1.45€0.25-€0.70€6.01-€1.15€9.17€5.12€6.62€4.42€4.34€5.61€5.27€5.31€6.74€4.96
Diluted EPSper diluted share€1.81€1.45€0.25-€0.70€6.00-€1.15€9.15€5.11€6.61€4.41€4.33€5.60€5.27€5.31€6.74€4.96

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