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SAP SAP SE

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  • 292.230
  • +6.880+2.41%
Trading Apr 29 14:16 ET
341.06BMarket Cap96.54P/E (TTM)

SAP SE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
31.38%3.78B
-15.99%5.22B
-128.65%-552M
30.61%1.47B
68.05%1.42B
24.48%2.88B
9.46%6.21B
-4.65%1.93B
27.06%1.13B
182.61%845M
Net income from continuing operations
317.96%1.8B
-12.52%3.15B
251.03%1.62B
-59.37%1.44B
26.80%918M
-304.47%-824M
17.41%3.6B
-163.50%-1.07B
1,534.82%3.54B
18.11%724M
Depreciation and amortization
11.50%349M
-6.77%1.28B
1.81%337M
-3.35%317M
-10.32%313M
-14.25%313M
-12.49%1.37B
-14.91%331M
-19.21%328M
-10.74%349M
Deferred tax
528.03%672M
-7.29%1.61B
-2.96%591M
45.19%710M
27.37%470M
-157.30%-157M
20.40%1.74B
35.94%609M
47.29%489M
16.40%369M
Other non cash items
-860.47%-327M
-155.79%-1.57B
-125.76%-592M
92.95%-182M
-144.74%-837M
290.91%43M
-1,802.78%-613M
577.75%2.3B
-304.76%-2.58B
46.23%-342M
Change In working capital
-60.56%1.28B
2,407.41%623M
-788.52%-2.17B
-42.41%-1.14B
548.70%691M
176.97%3.24B
81.12%-27M
24.69%-244M
21.94%-797M
-1,284.62%-154M
-Change in receivables
-34.06%-1.29B
37.15%-247M
-11.11%-1.19B
102.48%571M
26.50%1.33B
-46.12%-960M
-300.51%-393M
5.47%-1.07B
-39.22%282M
-15.69%1.05B
-Change in payables and accrued expense
-189.87%-1.07B
-4.74%603M
-112.96%-143M
-130.52%-130M
-171.79%-318M
253.27%1.19B
311.04%633M
-7.54%1.1B
111.94%426M
23.53%-117M
-Change in other current assets
387.88%161M
9.71%-632M
-374.48%-688M
62.22%73M
84.42%-50M
111.83%33M
42.29%-700M
71.51%-145M
143.27%45M
-14.64%-321M
-Change in other working capital
17.08%3.48B
107.62%899M
-12.21%-147M
-6.39%-1.65B
64.50%-273M
2.95%2.97B
-39.86%433M
-204.80%-131M
2.02%-1.55B
4.23%-769M
Cash from discontinued investing activities
0
0
0
520.69%122M
90.91%42M
0
158.06%18M
Operating cash flow
31.38%3.78B
-17.56%5.22B
-127.95%-550M
31.05%1.47B
63.86%1.42B
21.23%2.88B
12.13%6.33B
-3.77%1.97B
32.24%1.12B
223.13%866M
Investing cash flow
Cash flow from continuing investing activities
104.36%43M
85.73%-657M
97.88%-40M
111.92%329M
-92.47%40M
-101.22%-986M
-759.60%-4.6B
-411.74%-1.89B
-337.94%-2.76B
-63.00%531M
Net intangibles purchase and sale
18.75%-130M
1.60%-675M
-39.26%-227M
9.80%-138M
-9.49%-150M
31.33%-160M
12.28%-686M
-0.62%-163M
40.70%-153M
21.71%-137M
Net business purchase and sale
84.21%-3M
11.52%-1.11B
99.14%-10M
-1,092.31%-1.09B
--0
---19M
-222.82%-1.26B
-504.15%-1.17B
-506.67%-91M
--0
Net investment purchase and sale
105.89%56M
142.57%1.13B
135.50%197M
161.71%1.55B
-50.00%334M
-270.04%-951M
-242.19%-2.66B
-216.11%-555M
-604.48%-2.52B
-58.56%668M
Net other investing changes
----
--1M
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
104.36%43M
-172.41%-656M
98.05%-39M
109.55%330M
-99.43%39M
-97.60%-986M
35.83%906M
-436.87%-2B
-444.41%-3.46B
380.94%6.86B
Financing cash flow
Cash flow from continuing financing activities
-118.93%-1.72B
56.03%-3.41B
75.83%-232M
120.99%528M
4.45%-2.92B
35.81%-787M
-27.71%-7.76B
-133.58%-960M
-269.85%-2.52B
9.13%-3.06B
Net issuance payments of debt
-1,363.33%-1.32B
128.91%1.27B
135.84%248M
165.98%1.19B
89.77%-71M
92.61%-90M
-159.28%-4.4B
-67.96%-692M
-956.47%-1.8B
-789.74%-694M
Net common stock issuance
71.06%-125M
-121.92%-2.11B
-108.23%-481M
9.47%-650M
---543M
---432M
36.73%-949M
---231M
-43.60%-718M
--0
Cash dividends paid
--0
-7.10%-2.57B
--0
--0
---2.57B
--0
16.40%-2.4B
--0
--0
----
Net other financing activities
----
7.14%-13M
--0
---6M
----
----
-16.67%-14M
-3,900.00%-38M
--0
3,300.00%32M
Cash from discontinued financing activities
0
0
0
109.13%24M
0
0
129.73%11M
Financing cash flow
-118.93%-1.72B
55.88%-3.41B
75.75%-233M
121.04%529M
4.10%-2.92B
35.12%-787M
-22.05%-7.73B
-115.47%-961M
-259.66%-2.51B
10.41%-3.05B
Net cash flow
Beginning cash position
18.28%9.61B
-9.81%8.12B
6.69%10.01B
-44.35%7.87B
-2.23%9.3B
-9.81%8.12B
1.24%9.01B
28.18%9.38B
89.27%14.14B
6.50%9.51B
Current changes in cash
89.96%2.1B
332.26%1.15B
17.20%-823M
148.12%2.33B
-131.24%-1.46B
67.58%1.11B
-1,966.67%-496M
-145.35%-994M
-899.59%-4.85B
375.32%4.69B
Effect of exchange rate changes
-661.54%-365M
185.82%333M
264.23%427M
-335.71%-198M
176.47%39M
140.37%65M
-389.55%-388M
48.00%-260M
-74.47%84M
-120.65%-51M
End cash Position
22.05%11.35B
18.28%9.61B
18.28%9.61B
6.69%10.01B
-44.35%7.87B
-2.23%9.3B
-9.81%8.12B
-9.81%8.12B
28.18%9.38B
89.27%14.14B
Free cash flow
34.26%3.61B
-20.26%4.42B
-146.06%-819M
39.07%1.31B
74.79%1.24B
27.11%2.69B
16.29%5.55B
-4.05%1.78B
64.40%942M
886.11%710M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 31.38%3.78B-15.99%5.22B-128.65%-552M30.61%1.47B68.05%1.42B24.48%2.88B9.46%6.21B-4.65%1.93B27.06%1.13B182.61%845M
Net income from continuing operations 317.96%1.8B-12.52%3.15B251.03%1.62B-59.37%1.44B26.80%918M-304.47%-824M17.41%3.6B-163.50%-1.07B1,534.82%3.54B18.11%724M
Depreciation and amortization 11.50%349M-6.77%1.28B1.81%337M-3.35%317M-10.32%313M-14.25%313M-12.49%1.37B-14.91%331M-19.21%328M-10.74%349M
Deferred tax 528.03%672M-7.29%1.61B-2.96%591M45.19%710M27.37%470M-157.30%-157M20.40%1.74B35.94%609M47.29%489M16.40%369M
Other non cash items -860.47%-327M-155.79%-1.57B-125.76%-592M92.95%-182M-144.74%-837M290.91%43M-1,802.78%-613M577.75%2.3B-304.76%-2.58B46.23%-342M
Change In working capital -60.56%1.28B2,407.41%623M-788.52%-2.17B-42.41%-1.14B548.70%691M176.97%3.24B81.12%-27M24.69%-244M21.94%-797M-1,284.62%-154M
-Change in receivables -34.06%-1.29B37.15%-247M-11.11%-1.19B102.48%571M26.50%1.33B-46.12%-960M-300.51%-393M5.47%-1.07B-39.22%282M-15.69%1.05B
-Change in payables and accrued expense -189.87%-1.07B-4.74%603M-112.96%-143M-130.52%-130M-171.79%-318M253.27%1.19B311.04%633M-7.54%1.1B111.94%426M23.53%-117M
-Change in other current assets 387.88%161M9.71%-632M-374.48%-688M62.22%73M84.42%-50M111.83%33M42.29%-700M71.51%-145M143.27%45M-14.64%-321M
-Change in other working capital 17.08%3.48B107.62%899M-12.21%-147M-6.39%-1.65B64.50%-273M2.95%2.97B-39.86%433M-204.80%-131M2.02%-1.55B4.23%-769M
Cash from discontinued investing activities 000520.69%122M90.91%42M0158.06%18M
Operating cash flow 31.38%3.78B-17.56%5.22B-127.95%-550M31.05%1.47B63.86%1.42B21.23%2.88B12.13%6.33B-3.77%1.97B32.24%1.12B223.13%866M
Investing cash flow
Cash flow from continuing investing activities 104.36%43M85.73%-657M97.88%-40M111.92%329M-92.47%40M-101.22%-986M-759.60%-4.6B-411.74%-1.89B-337.94%-2.76B-63.00%531M
Net intangibles purchase and sale 18.75%-130M1.60%-675M-39.26%-227M9.80%-138M-9.49%-150M31.33%-160M12.28%-686M-0.62%-163M40.70%-153M21.71%-137M
Net business purchase and sale 84.21%-3M11.52%-1.11B99.14%-10M-1,092.31%-1.09B--0---19M-222.82%-1.26B-504.15%-1.17B-506.67%-91M--0
Net investment purchase and sale 105.89%56M142.57%1.13B135.50%197M161.71%1.55B-50.00%334M-270.04%-951M-242.19%-2.66B-216.11%-555M-604.48%-2.52B-58.56%668M
Net other investing changes ------1M--------------------------------
Cash from discontinued investing activities
Investing cash flow 104.36%43M-172.41%-656M98.05%-39M109.55%330M-99.43%39M-97.60%-986M35.83%906M-436.87%-2B-444.41%-3.46B380.94%6.86B
Financing cash flow
Cash flow from continuing financing activities -118.93%-1.72B56.03%-3.41B75.83%-232M120.99%528M4.45%-2.92B35.81%-787M-27.71%-7.76B-133.58%-960M-269.85%-2.52B9.13%-3.06B
Net issuance payments of debt -1,363.33%-1.32B128.91%1.27B135.84%248M165.98%1.19B89.77%-71M92.61%-90M-159.28%-4.4B-67.96%-692M-956.47%-1.8B-789.74%-694M
Net common stock issuance 71.06%-125M-121.92%-2.11B-108.23%-481M9.47%-650M---543M---432M36.73%-949M---231M-43.60%-718M--0
Cash dividends paid --0-7.10%-2.57B--0--0---2.57B--016.40%-2.4B--0--0----
Net other financing activities ----7.14%-13M--0---6M---------16.67%-14M-3,900.00%-38M--03,300.00%32M
Cash from discontinued financing activities 000109.13%24M00129.73%11M
Financing cash flow -118.93%-1.72B55.88%-3.41B75.75%-233M121.04%529M4.10%-2.92B35.12%-787M-22.05%-7.73B-115.47%-961M-259.66%-2.51B10.41%-3.05B
Net cash flow
Beginning cash position 18.28%9.61B-9.81%8.12B6.69%10.01B-44.35%7.87B-2.23%9.3B-9.81%8.12B1.24%9.01B28.18%9.38B89.27%14.14B6.50%9.51B
Current changes in cash 89.96%2.1B332.26%1.15B17.20%-823M148.12%2.33B-131.24%-1.46B67.58%1.11B-1,966.67%-496M-145.35%-994M-899.59%-4.85B375.32%4.69B
Effect of exchange rate changes -661.54%-365M185.82%333M264.23%427M-335.71%-198M176.47%39M140.37%65M-389.55%-388M48.00%-260M-74.47%84M-120.65%-51M
End cash Position 22.05%11.35B18.28%9.61B18.28%9.61B6.69%10.01B-44.35%7.87B-2.23%9.3B-9.81%8.12B-9.81%8.12B28.18%9.38B89.27%14.14B
Free cash flow 34.26%3.61B-20.26%4.42B-146.06%-819M39.07%1.31B74.79%1.24B27.11%2.69B16.29%5.55B-4.05%1.78B64.40%942M886.11%710M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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