Société Européenne au capital de € 361 015 032 - 582 110 987 R.C.S Paris30 avenue Montaigne - 75008 Paris
NOTICE OF AVAILABILITY OF THEHALF-YEARLY FINANCIAL REPORT AS OF JUNE 30, 2025
Solid results in the first half of 2025despite the prevailing environment. Revenue: €40 billion. Profit from recurring operations: €9 billion. Free cash flow: €4 billion
- A word from our sponsors -