Fresenius SE & Co. K...
XTRA:FRE
44,70
+ €0,20 (0,45%)
44,70
+€0,20 (0,45%)
End-of-day quote: 04/10/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

€3,12
Earnings Per Share
€38,76
Revenue Per Share
24,63%
Gross Margin %
€25,06 B
Market Cap
€9,48 B
Long-Term Debt
Earnings Per Share
€3,12
Revenue Per Share
€38,76
Gross Margin %
24,63%
Market Cap
€25,06 B
Long-Term Debt
€9,48 B

Financials

Year Year 2026 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
EPS Earnings Per Share €3,12 €2,67 €3,08 €3,35 €3,22 €3,44 €3,35 €3,35 €2,90 €2,59 €2,01 €1,96 €1,79 €1,56 €1,34
Earnings Earnings €1,76B €1,50B €1,73B €1,87B €1,80B €1,92B €1,86B €1,86B €1,59B €1,41B €1,09B €1,06B €956,86M €763,95M €653,05M
RPS Revenue Per Share €0,00 €38,76 €39,59 €72,51 €67,18 €65,07 €63,53 €60,28 €61,09 €53,15 €50,62 €42,90 €37,71 €36,49 €33,74 €32,77
Revenue Revenue €0,00M €21,83B €22,30B €40,84B €37,52B €36,28B €35,41B €33,53B €33,89B €29,08B €27,63B €23,23B €20,33B €19,51B €16,52B €15,97B
OCF Operating Cash Flow €0,00M €2,40B €2,13B €4,20B €5,08B €6,55B €3,51B €3,74B €3,94B €3,57B €3,33B €2,59B €2,32B €2,44B €1,69B €1,91B
FCF Free Cash Flow €0,00M €1,49B €1,69B €2,28B €1,19B €2,48B €1,08B €1,67B €2,23B €1,97B €1,84B €1,26B €1,27B €1,49B €931,00M €1,18B
OM Operating Margin 0,00% 8,18% 5,29% 8,50% 10,63% 12,22% 12,80% 12,93% 13,33% 14,49% 14,03% 13,40% 14,71% 15,37% 15,67% 15,14%
GM % Gross Margin % 0,00% 24,63% 22,68% 25,09% 27,48% 28,44% 29,22% 29,33% 30,96% 32,28% 30,89% 29,45% 31,40% 33,39% 32,85% 33,35%
FCFS Free Cash Flow Per Share €0,00 €2,71 €5,90 €5,35 €5,37 €7,37 €3,17 €2,71 €3,77 €3,54 €3,33 €2,26 €2,31 €2,83 €1,86 €2,38
LT Debt Long-Term Debt N/A €9,48B €11,46B €18,99B €16,63B €16,82B €16,10B €13,84B €16,14B €12,85B €13,61B €13,70B €10,99B €9,71B €7,84B €7,40B
Sha. Stocks 563,24M 563,24M 563,24M 563,24M 558,5M 557,54M 557,38M 556,23M 554,71M 547,21M 545,73M 541,53M 539,08M 534,56M 489,71M 487,35M
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