Bayer
XTRA:BAYN
36,55
€-1,30 (-3,43%)
36,55
€-1,30 (-3,43%)
End-of-day quote: 03/06/2026

Quick Analysis

€5,05
Earnings Per Share
€47,44
Revenue Per Share
55,30%
Gross Margin %
€37,18 B
Market Cap
€34,56 B
Long-Term Debt
Earnings Per Share
€5,05
Revenue Per Share
€47,44
Gross Margin %
55,30%
Market Cap
€37,18 B
Long-Term Debt
€34,56 B

Financials

Year Year 2026 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
EPS Earnings Per Share €5,05 €6,39 €7,94 €6,51 €6,39 €6,40 €5,94 €6,74 €7,32 €6,95 €6,02 €5,61 €5,35 €4,83 €4,19
Earnings Earnings €4,96B €6,28B €7,80B €6,40B €6,28B €6,29B €5,54B €5,57B €6,05B €5,75B €4,98B €4,64B €4,42B €3,99B €3,46B
RPS Revenue Per Share €0,00 €47,44 €48,49 €51,65 €44,87 €42,14 €44,32 €42,45 €42,34 €56,56 €56,02 €51,08 €48,56 €48,08 €44,17 €42,43
Revenue Revenue €0,00M €46,61B €47,64B €50,74B €44,08B €41,40B €43,55B €39,59B €35,02B €46,77B €46,32B €42,24B €40,16B €39,76B €36,53B €35,09B
OCF Operating Cash Flow €0,00M €7,37B €5,12B €7,09B €5,09B €4,90B €8,21B €7,92B €8,13B €9,09B €6,89B €5,81B €5,17B €4,53B €5,06B €5,77B
FCF Free Cash Flow €0,00M €4,59B €222,52M €4,14B €2,48B €2,49B €5,56B €5,55B €5,77B €5,68B €4,37B €3,44B €3,01B €2,60B €3,45B €4,26B
OM Operating Margin 0,00% 6,80% 16,37% 17,98% 16,96% 16,84% 16,03% 11,59% 19,63% 18,76% 14,70% 13,21% 12,92% 12,97% 12,52% 11,11%
GM % Gross Margin % 0,00% 55,30% 58,55% 62,78% 61,33% 62,01% 62,28% 64,43% 67,96% 67,54% 55,30% 52,03% 51,61% 52,01% 50,79% 51,26%
FCFS Free Cash Flow Per Share €0,00 €4,67 €2,41 €4,22 €2,52 €2,53 €5,66 €5,66 €6,61 €7,82 €5,29 €4,16 €3,64 €3,15 €4,17 €5,15
LT Debt Long-Term Debt N/A €34,56B €37,23B €32,84B €35,55B €32,27B €35,96B €37,36B €12,28B €15,80B €16,10B €18,10B €5,26B €6,66B €7,25B €9,17B
Sha. Stocks 982,42M 982,42M 982,42M 982,42M 982,42M 982,42M 982,42M 932,55M 826,95M 826,95M 826,95M 826,95M 826,95M 826,95M 826,95M 826,95M
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