Key figures 

Below, we provide a brief summary of our financial developments and performance (amounts in millions of euros) based on financial indicators from the consolidated financial statements. 

Operating income

Salaries, social charges and pension costs

Net result

2025

1.759,00

988,9

38,3

2024

1.684,60

932,2

30,6

2023

1.631,20

873,9

57,3

Group equity

Provisions

Total assets

2025

570,1

96,5

1.274,3

2024

531,8

92,4

1.205,50

2023

502,3

85,3

1.171,1

Returns

Capital ratio

Liquidity

2025

2,18%

44,74%

1,76

2024

1,82%

44,11%

1,80

2023

3,51%

42,89%

1,74

Our finances : Look back on 2025 

Our finances : Financial results

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