Symbols / AIR.PA $169.30 -1.96% Airbus SE

Industrials • Aerospace & Defense • Netherlands • PAR
AIR.PA Chart
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Stock Fundamentals
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Index EQUITY
Sector Industrials
Industry Aerospace & Defense
CEO Mr. Guillaume M. J. D. Faury
Exch · Country PAR · Netherlands
Market Cap 133.28B
Enterprise Value 134.82B
Income 5.01B
Sales 72.53B
FCF (ttm) -84.12M
Book/sh 33.14
Cash/sh 20.04
Employees 166,876
Insider 10d
IPO Sep 03, 2001
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 31.60%
P/E 26.70
Forward P/E 19.75
PEG 1.52
P/S 1.84
P/B 5.11
P/C
EV/EBITDA 17.61
EV/Sales 1.86
Quick Ratio 0.40
Current Ratio 1.14
Debt/Eq 55.66
LT Debt/Eq
EPS (ttm) 6.34
EPS next Y 8.57
EPS Growth -26.50%
Revenue Growth -6.60%
EPS Gr Q/Q -26.10%
Rev Gr Q/Q
Earnings (next) 2026-07-29
Earnings (prior) 2026-04-27
ROA 2.48%
ROE 19.75%
ROIC
Gross Margin 15.37%
Oper. Margin 1.48%
Profit Margin 6.91%
Shs Outstand 787.23M
Shs Float 584.15M
Insider Own 25.73%
Instit Own 36.94%
Short Float
Short Ratio
Short Interest
52W High 221.30
vs 52W High -23.50%
52W Low 157.42
vs 52W Low 7.55%
Beta 0.89
Impl. Vol.
Rel Volume 0.79
Avg Volume 1.46M
Volume 1.16M
Target (mean) $209.61
Tgt Median $210.00
Tgt Low $175.00
Tgt High $255.00
# Analysts 23
Recom Buy
Prev Close $172.68
Price $169.30
Change -1.96%

Airbus SE, together with its subsidiaries, engages in the design, manufacture, and delivery of aeronautics and aerospace products, services, and solutions worldwide. It operates through three segments: Airbus, Airbus Helicopters, and Airbus Defence and Space. The Airbus segment develops, manufactures, markets, and sells commercial jet passenger aircraft, freighter aircraft, regional turboprop aircraft, and aircraft components, as well as provides aircraft conversion and related services. The Airbus Helicopters segment develops, manufactures, markets, and sells civil and military helicopters; and provides uncrewed aerial systems and their related services. The Airbus Defence and Space segment designs, develops, delivers, and supports crewed and uncrewed military air systems and related services. This segment also offers civil and defence space systems for telecommunications, earth observations, navigation, and science and orbital systems; and services around data processing from platforms, secure communication, and cyber security. The company was formerly known as Airbus Group SE and changed its name to Airbus SE in April 2017. The company was incorporated in 1998 and is headquartered in Leiden, the Netherlands.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$169.30
Low
$175.00
High
$255.00
Mean
$209.61
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
73,420.00
+6.05%
69,230.00
+5.78%
65,446.00
+11.37%
58,763.00
Operating Revenue
73,420.00
+6.05%
69,230.00
+5.78%
65,446.00
+11.37%
58,763.00
Cost Of Revenue
62,453.00
+6.66%
58,555.00
+5.69%
55,402.00
+14.96%
48,192.00
Reconciled Cost Of Revenue
62,453.00
+6.66%
58,555.00
+5.69%
55,402.00
+14.96%
48,192.00
Gross Profit
10,967.00
+2.74%
10,675.00
+6.28%
10,044.00
-4.99%
10,571.00
Operating Expense
5,731.00
-2.38%
5,871.00
+1.61%
5,778.00
+8.63%
5,319.00
Research And Development
3,153.00
-2.98%
3,250.00
-0.21%
3,257.00
+5.78%
3,079.00
Selling General And Administration
2,578.00
-1.64%
2,621.00
+3.97%
2,521.00
+12.54%
2,240.00
Selling And Marketing Expense
856.00
-2.39%
877.00
+1.15%
867.00
+10.03%
788.00
General And Administrative Expense
1,722.00
-1.26%
1,744.00
+5.44%
1,654.00
+13.91%
1,452.00
Total Expenses
68,184.00
+5.83%
64,426.00
+5.31%
61,180.00
+14.33%
53,511.00
Operating Income
5,236.00
+8.99%
4,804.00
+12.61%
4,266.00
-18.77%
5,252.00
EBITDA
10,253.00
+11.71%
9,178.00
+18.17%
7,767.00
-5.32%
8,203.00
Reconciled Depreciation
3,133.00
+9.81%
2,853.00
+27.25%
2,242.00
-17.45%
2,716.00
EBIT
7,120.00
+12.57%
6,325.00
+14.48%
5,525.00
+0.69%
5,487.00
Total Unusual Items
235.00
+223.68%
-190.00
-587.18%
39.00
+111.27%
-346.00
Total Unusual Items Excluding Goodwill
235.00
+223.68%
-190.00
-587.18%
39.00
+111.27%
-346.00
Net Income
5,221.00
+23.37%
4,232.00
+11.69%
3,789.00
-10.78%
4,247.00
Pretax Income
6,350.00
+17.05%
5,425.00
+13.76%
4,769.00
-6.03%
5,075.00
Net Non Operating Interest Income Expense
45.00
+15.38%
39.00
-56.67%
90.00
-53.85%
195.00
Interest Expense Non Operating
770.00
-14.44%
900.00
+19.05%
756.00
+83.50%
412.00
Net Interest Income
45.00
+15.38%
39.00
-56.67%
90.00
-53.85%
195.00
Interest Expense
770.00
-14.44%
900.00
+19.05%
756.00
+83.50%
412.00
Interest Income Non Operating
732.00
-8.84%
803.00
+10.30%
728.00
+287.23%
188.00
Interest Income
732.00
-8.84%
803.00
+10.30%
728.00
+287.23%
188.00
Other Non Operating Income Expenses
491.00
+363.21%
106.00
+211.76%
34.00
+128.57%
-119.00
Tax Provision
1,390.00
+3.19%
1,347.00
+16.52%
1,156.00
+23.11%
939.00
Tax Rate For Calcs
0.00
-11.80%
0.00
+2.43%
0.00
+27.58%
0.00
Tax Effect Of Unusual Items
51.47
+209.09%
-47.18
-599.03%
9.45
+114.38%
-65.74
Net Income Including Noncontrolling Interests
4,960.00
+21.63%
4,078.00
+12.87%
3,613.00
-12.65%
4,136.00
Net Income From Continuing Operation Net Minority Interest
5,221.00
+23.37%
4,232.00
+11.69%
3,789.00
-10.78%
4,247.00
Net Income From Continuing And Discontinued Operation
5,221.00
+23.37%
4,232.00
+11.69%
3,789.00
-10.78%
4,247.00
Net Income Continuous Operations
4,960.00
+21.63%
4,078.00
+12.87%
3,613.00
-12.65%
4,136.00
Minority Interests
261.00
+69.48%
154.00
-12.50%
176.00
+58.56%
111.00
Normalized Income
5,037.47
+15.15%
4,374.82
+16.37%
3,759.45
-16.96%
4,527.26
Net Income Common Stockholders
5,221.00
+23.37%
4,232.00
+11.69%
3,789.00
-10.78%
4,247.00
Otherunder Preferred Stock Dividend
0.00
0.00
0.00
0.00
Diluted EPS
5.35
+11.46%
4.80
-10.95%
5.39
Basic EPS
5.36
+11.67%
4.80
-11.11%
5.40
Basic Average Shares
789.96
+0.16%
788.72
+0.21%
787.08
Diluted Average Shares
790.99
+0.16%
789.76
+0.25%
787.75
Diluted NI Availto Com Stockholders
5,221.00
+23.37%
4,232.00
+11.69%
3,789.00
-10.78%
4,247.00
Total Other Finance Cost
-83.00
+38.97%
-136.00
-15.25%
-118.00
+71.84%
-419.00
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
134,939.00
+4.43%
129,213.00
+8.70%
118,871.00
+2.52%
115,944.00
Current Assets
73,647.00
+6.07%
69,432.00
+8.49%
64,001.00
+1.59%
63,002.00
Cash Cash Equivalents And Short Term Investments
18,315.00
-4.50%
19,179.00
+1.83%
18,834.00
+1.55%
18,547.00
Cash And Cash Equivalents
14,128.00
-5.83%
15,003.00
-8.90%
16,469.00
+4.08%
15,823.00
Cash Equivalents
6,741.00
-37.49%
10,784.00
-19.64%
13,419.00
+10.57%
12,136.00
Cash Financial
7,387.00
+75.09%
4,219.00
+38.33%
3,050.00
-17.28%
3,687.00
Other Short Term Investments
4,187.00
+0.26%
4,176.00
+76.58%
2,365.00
-13.18%
2,724.00
Accounts Receivable
5,454.00
+3.04%
5,293.00
+12.02%
4,725.00
-4.60%
4,953.00
Other Receivables
3,065.00
+16.41%
2,633.00
-14.37%
3,075.00
+18.04%
2,605.00
Taxes Receivable
2,467.00
-0.76%
2,486.00
+15.84%
2,146.00
-11.90%
2,436.00
Inventory
34,891.00
+12.38%
31,046.00
+11.92%
27,740.00
+2.15%
27,157.00
Raw Materials
5,715.00
+12.79%
5,067.00
+18.22%
4,286.00
+14.48%
3,744.00
Work In Process
23,943.00
+14.42%
20,925.00
+6.99%
19,558.00
+1.57%
19,255.00
Finished Goods
5,233.00
+3.54%
5,054.00
+29.72%
3,896.00
-6.30%
4,158.00
Prepaid Assets
7,551.00
+3.16%
7,320.00
+18.54%
6,175.00
+18.61%
5,206.00
Current Deferred Assets
683.00
+9.63%
623.00
+35.43%
460.00
+2.68%
448.00
Assets Held For Sale Current
63.00
+3.28%
61.00
+15.09%
53.00
0.00
Hedging Assets Current
771.00
+95.19%
395.00
+19.70%
330.00
-71.08%
1,141.00
Other Current Assets
387.00
-2.27%
396.00
-14.47%
463.00
-9.04%
509.00
Total Non Current Assets
61,292.00
+2.53%
59,781.00
+8.95%
54,871.00
+3.64%
52,942.00
Net PPE
20,893.00
+9.32%
19,112.00
+11.10%
17,202.00
+4.22%
16,505.00
Gross PPE
49,082.00
+7.77%
45,542.00
+6.77%
42,655.00
+3.36%
41,269.00
Accumulated Depreciation
-28,189.00
-6.66%
-26,430.00
-3.84%
-25,453.00
-2.78%
-24,764.00
Properties
11,774.00
+4.92%
11,222.00
+2.50%
10,948.00
+3.91%
10,536.00
Machinery Furniture Equipment
29,267.00
+5.90%
27,637.00
+4.80%
26,371.00
+1.76%
25,914.00
Construction In Progress
4,316.00
+18.38%
3,646.00
+34.04%
2,720.00
+21.37%
2,241.00
Other Properties
3,725.00
+22.65%
3,037.00
+16.09%
2,616.00
+1.47%
2,578.00
Goodwill And Other Intangible Assets
16,847.00
-1.93%
17,179.00
+1.48%
16,929.00
+0.96%
16,768.00
Goodwill
13,556.00
+0.80%
13,449.00
+2.34%
13,141.00
-0.18%
13,165.00
Other Intangible Assets
3,291.00
-11.77%
3,730.00
-1.53%
3,788.00
+5.13%
3,603.00
Long Term Equity Investment
2,360.00
-3.00%
2,433.00
+9.20%
2,228.00
+7.79%
2,067.00
Other Investments
3,499.00
+21.16%
2,888.00
+3.22%
2,798.00
+5.94%
2,641.00
Non Current Deferred Assets
715.00
+8.83%
657.00
+40.38%
468.00
+38.87%
337.00
Non Current Deferred Taxes Assets
1,808.00
-48.42%
3,505.00
+1.65%
3,448.00
-26.37%
4,683.00
Non Current Prepaid Assets
46.00
-42.50%
80.00
-37.98%
129.00
-13.42%
149.00
Other Non Current Assets
2,001.00
+4.60%
1,913.00
+52.19%
1,257.00
-9.31%
1,386.00
Total Liabilities Net Minority Interest
108,755.00
-0.70%
109,517.00
+8.28%
101,141.00
-1.77%
102,962.00
Current Liabilities
63,511.00
+4.76%
60,623.00
+12.79%
53,750.00
+2.20%
52,595.00
Payables
16,962.00
+11.07%
15,272.00
-4.47%
15,986.00
+4.17%
15,346.00
Accounts Payable
15,878.00
+15.13%
13,791.00
-3.71%
14,323.00
+8.01%
13,261.00
Other Payable
80.00
-2.44%
82.00
-55.19%
183.00
-1.61%
186.00
Total Tax Payable
1,004.00
-28.23%
1,399.00
-5.47%
1,480.00
-22.06%
1,899.00
Current Debt And Capital Lease Obligation
1,960.00
+113.04%
920.00
-17.86%
1,120.00
+218.18%
352.00
Current Debt
1,633.00
+144.83%
667.00
-25.81%
899.00
+717.27%
110.00
Current Capital Lease Obligation
327.00
+29.25%
253.00
+14.48%
221.00
-8.68%
242.00
Other Current Liabilities
3,554.00
+5.24%
3,377.00
+14.40%
2,952.00
+3.18%
2,861.00
Total Non Current Liabilities Net Minority Interest
45,244.00
-7.47%
48,894.00
+3.17%
47,391.00
-5.91%
50,367.00
Long Term Debt And Capital Lease Obligation
9,063.00
-12.48%
10,355.00
+1.50%
10,202.00
-4.04%
10,631.00
Long Term Debt
7,010.00
-19.04%
8,659.00
-1.67%
8,806.00
-3.64%
9,139.00
Long Term Capital Lease Obligation
2,053.00
+21.05%
1,696.00
+21.49%
1,396.00
-6.43%
1,492.00
Long Term Provisions
3,976.00
-14.13%
4,630.00
-18.30%
5,667.00
-17.82%
6,896.00
Non Current Deferred Revenue
26,491.00
+3.48%
25,599.00
+6.68%
23,996.00
+8.77%
22,061.00
Non Current Deferred Taxes Liabilities
428.00
+57.93%
271.00
-24.93%
361.00
+120.12%
164.00
Other Non Current Liabilities
4,097.00
-1.54%
4,161.00
+0.97%
4,121.00
-2.23%
4,215.00
Stockholders Equity
26,104.00
+33.14%
19,606.00
+10.80%
17,695.00
+36.64%
12,950.00
Common Stock Equity
26,104.00
+33.14%
19,606.00
+10.80%
17,695.00
+36.64%
12,950.00
Capital Stock
793.00
+0.00%
793.00
+0.25%
791.00
+0.25%
789.00
Common Stock
793.00
+0.00%
793.00
+0.25%
791.00
+0.25%
789.00
Share Issued
792.28
+0.00%
792.28
+0.23%
790.46
+0.29%
788.21
Ordinary Shares Number
787.23
-0.09%
787.96
+0.07%
787.42
-0.02%
787.56
Treasury Shares Number
5.06
+16.83%
4.33
+42.47%
3.04
+369.11%
0.65
Additional Paid In Capital
4,003.00
+0.02%
4,002.00
+0.48%
3,983.00
+3.81%
3,837.00
Retained Earnings
22,334.00
+19.52%
18,687.00
+19.67%
15,616.00
+16.47%
13,408.00
Treasury Stock
955.00
+61.86%
590.00
+51.28%
390.00
+473.53%
68.00
Minority Interest
80.00
-11.11%
90.00
+157.14%
35.00
+9.38%
32.00
Total Equity Gross Minority Interest
26,184.00
+32.94%
19,696.00
+11.09%
17,730.00
+36.57%
12,982.00
Total Capitalization
33,114.00
+17.16%
28,265.00
+6.66%
26,501.00
+19.97%
22,089.00
Working Capital
10,136.00
+15.06%
8,809.00
-14.07%
10,251.00
-1.50%
10,407.00
Invested Capital
34,747.00
+20.10%
28,932.00
+5.59%
27,400.00
+23.43%
22,199.00
Total Debt
11,023.00
-2.24%
11,275.00
-0.42%
11,322.00
+3.09%
10,983.00
Capital Lease Obligations
2,380.00
+22.11%
1,949.00
+20.53%
1,617.00
-6.75%
1,734.00
Net Tangible Assets
9,257.00
+281.42%
2,427.00
+216.84%
766.00
+120.06%
-3,818.00
Tangible Book Value
9,257.00
+281.42%
2,427.00
+216.84%
766.00
+120.06%
-3,818.00
Available For Sale Securities
11,988.00
+6.58%
11,248.00
+18.98%
9,454.00
+24.56%
7,590.00
Current Provisions
4,369.00
+1.44%
4,307.00
+3.51%
4,161.00
+0.82%
4,127.00
Derivative Product Liabilities
1,107.00
-70.20%
3,715.00
+29.94%
2,859.00
-53.61%
6,163.00
Financial Assets
1,050.00
+56.72%
670.00
-25.31%
897.00
+19.12%
753.00
Investment Properties
68.00
+94.29%
35.00
+0.00%
35.00
-5.41%
37.00
Investmentin Financial Assets
11,988.00
+6.58%
11,248.00
+18.98%
9,454.00
+24.56%
7,590.00
Investments In Other Ventures Under Equity Method
2,266.00
Investmentsin Associatesat Cost
453.00
-0.22%
454.00
+14.07%
398.00
+4.46%
381.00
Investmentsin Joint Venturesat Cost
1,907.00
-3.64%
1,979.00
+8.14%
1,830.00
+8.54%
1,686.00
Other Equity Interest
-71.00
+97.84%
-3,286.00
-42.56%
-2,305.00
+54.05%
-5,016.00
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
7,995.00
+8.01%
7,402.00
+18.34%
6,255.00
-0.52%
6,288.00
Net Income From Continuing Operations
4,960.00
+21.63%
4,078.00
+12.87%
3,613.00
-12.65%
4,136.00
Depreciation
3,133.00
+9.81%
2,853.00
+27.25%
2,242.00
-17.45%
2,716.00
Depreciation And Amortization
3,133.00
+9.81%
2,853.00
+27.25%
2,242.00
-17.45%
2,716.00
Other Non Cash Items
-333.00
+38.56%
-542.00
-2268.00%
25.00
-89.22%
232.00
Pension And Employee Benefit Expense
-505.00
+24.40%
-668.00
Provisionand Write Offof Assets
314.00
+89.16%
166.00
+245.61%
-114.00
+88.78%
-1,016.00
Deferred Tax
1,390.00
+3.19%
1,347.00
+16.52%
1,156.00
+23.11%
939.00
Gain Loss On Investment Securities
17.00
-75.71%
70.00
+114.68%
-477.00
+12.32%
-544.00
Change In Working Capital
100.00
-92.52%
1,337.00
+10.95%
1,205.00
-15.20%
1,421.00
Change In Receivables
-707.00
-573.33%
-105.00
-140.70%
258.00
+324.35%
-115.00
Change In Inventory
-3,989.00
-13.26%
-3,522.00
-89.97%
-1,854.00
+42.39%
-3,218.00
Change In Payable
2,791.00
+336.13%
-1,182.00
-183.18%
1,421.00
-57.06%
3,309.00
Change In Other Current Assets
2,005.00
-67.38%
6,146.00
+345.36%
1,380.00
-4.50%
1,445.00
Investing Cash Flow
-4,682.00
+29.63%
-6,653.00
-61.17%
-4,128.00
-32.61%
-3,113.00
Capital Expenditure
-3,964.00
-8.04%
-3,669.00
-20.26%
-3,051.00
-23.82%
-2,464.00
Net Investment Purchase And Sale
-1,527.00
+43.26%
-2,691.00
-242.37%
-786.00
-128.49%
-344.00
Purchase Of Investment
-5,205.00
-16.70%
-4,460.00
-65.19%
-2,700.00
-45.87%
-1,851.00
Sale Of Investment
3,678.00
+107.91%
1,769.00
-7.58%
1,914.00
+27.01%
1,507.00
Net Business Purchase And Sale
353.00
+160.14%
-587.00
-13.76%
-516.00
-1.98%
-506.00
Purchase Of Business
-879.00
+21.31%
-1,117.00
-8.98%
-1,025.00
-6.22%
-965.00
Net Intangibles Purchase And Sale
-3,895.00
-9.07%
-3,571.00
-19.99%
-2,976.00
-25.94%
-2,363.00
Purchase Of Intangibles
-3,964.00
-8.04%
-3,669.00
-20.26%
-3,051.00
-23.82%
-2,464.00
Net Other Investing Changes
Financing Cash Flow
-3,471.00
-35.06%
-2,570.00
-101.41%
-1,276.00
+39.67%
-2,115.00
Net Issuance Payments Of Debt
Issuance Of Debt
Repayment Of Debt
Long Term Debt Issuance
Long Term Debt Payments
Net Long Term Debt Issuance
Net Common Stock Issuance
-565.00
-104.71%
-276.00
+17.37%
-334.00
-827.78%
-36.00
Common Stock Dividend Paid
-2,372.00
-7.09%
-2,215.00
-55.88%
-1,421.00
-20.32%
-1,181.00
Cash Dividends Paid
-2,372.00
-7.09%
-2,215.00
-55.88%
-1,421.00
-20.32%
-1,181.00
Net Other Financing Charges
-532.00
-582.05%
-78.00
-116.28%
479.00
+153.40%
-897.00
Changes In Cash
-158.00
+91.32%
-1,821.00
-313.98%
851.00
-19.72%
1,060.00
Effect Of Exchange Rate Changes
-712.00
-298.88%
358.00
+278.11%
-201.00
-205.24%
191.00
Beginning Cash Position
15,010.00
-8.88%
16,473.00
+4.11%
15,823.00
+8.58%
14,572.00
End Cash Position
14,140.00
-5.80%
15,010.00
-8.88%
16,473.00
+4.11%
15,823.00
Free Cash Flow
4,031.00
+7.98%
3,733.00
+16.51%
3,204.00
-16.21%
3,824.00
Dividends Received CFI
387.00
+97.45%
196.00
+30.67%
150.00
+50.00%
100.00
Interest Paid CFO
-651.00
+17.18%
-786.00
-29.70%
-606.00
-88.20%
-322.00
Interest Received CFO
607.00
-10.87%
681.00
-1.30%
690.00
+176.00%
250.00
Sale Of Business
1,232.00
+132.45%
530.00
+4.13%
509.00
+10.89%
459.00
Sale Of Intangibles
69.00
-29.59%
98.00
+30.67%
75.00
-25.74%
101.00
Taxes Refund Paid
-965.00
-1.90%
-947.00
-74.08%
-544.00
+31.14%
-790.00
SEC Filings

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