Mkt Cap
₹1.34 L Cr.
P/E (TTM)
47.42
Open
₹3,662.10
Day's Range
₹3,662.10 – ₹3,808.40
52W Range
₹2,826.00 – ₹3,937.30
Div Yield
0.39%
EPS (TTM)
₹47.56
Book Value
₹388.92

Siemens Financial Statements

For Mar 2026, Siemens reported revenue of ₹24,846 crore and net profit of ₹2,752 crore. Return on equity stands at 16.30%. Profit & loss, balance sheet and cash flow across 9 reported years are below.

Updated Source: NSE & BSE company filingsNifty 100 constituent
Latest year revenue
₹24,846 Cr
+43.1% vs prior
EBITDA
₹2,824 Cr
+40.7% vs prior
Operating margin
11.37%
Profit after tax
₹2,752 Cr
+30.8% vs prior
Net margin
11.07%
EPS
₹77.27
Latest year
Mar 2026
Years reported
9

Siemens profit & loss

Reported annual performance for Siemens, oldest to newest. Figures in ₹ crore unless a row states otherwise.

Siemens annual profit and loss statement. Figures in ₹ crore unless a row states otherwise.
Line itemSept 2018Sept 2019Sept 2020Sept 2021Sept 2022Sept 2023Sept 2024Sept 2025Mar 2026
Revenue from Operations12,79513,7679,94713,63916,13819,55422,24017,36424,846
Sales Growth YoY %7.6%-27.75%37.13%18.32%21.17%13.74%-21.92%
Other Income280399315227308496925570753
Total Income13,07514,16610,26113,86616,44620,05023,16517,93525,599
Cost of Goods Sold (COGS)5,7076,1474,0456,4967,9499,60210,34110,98315,865
Cost of Materials Consumed2,9242,9551,7762,8873,6714,4065,0326,91610,540
Purchases of Stock-in-Trade2,8763,1962,1643,9114,4495,4875,3634,0175,676
Changes in Inventories-92-4105-303-171-291-5451-351
Gross Profit7,0887,6205,9017,1438,1899,95211,8996,3818,981
Gross Margin %55.4%55.35%59.33%52.37%50.74%50.9%53.5%36.75%36.15%
Total Operating Expenses5,7616,1304,8985,6246,4317,4658,7954,3746,157
Employee Benefit Expense1,4571,6111,5471,6921,8062,0132,2841,6922,545
Other Expenses4,3044,5183,3513,9334,6265,4526,5112,6823,611
EBITDA1,3271,4901,0041,5191,7572,4873,1042,0072,824
OPM %10.37%10.83%10.09%11.13%10.89%12.72%13.96%11.56%11.37%
Total Non-Operating Expenses206230282325353344390295375
Depreciation & Amortisation198218252301317321330280415
Finance Costs81230253623611534
Exceptional Items (Before Tax)00000000-74
Profit Before Tax (PBT)1,4021,6591,0371,4201,7122,6403,6392,2823,054
Tax Expense500560267370450678921593771
Current Tax5295222723884887341,014606760
Deferred Tax-2938-5-18-39-56-93-1311
Effective Tax %35.7%33.75%25.79%26.04%26.28%25.68%25.31%25.99%25.23%
Profit/Loss from Discontinued Operations00-14028100417471
Total Profit for Period9011,0997701,0901,5431,9622,7182,1062,754
Less: Non-controlling Interests000001223
Net Profit (Owner's PAT)9011,0997701,0901,5431,9612,7172,1042,752
Net Profit Margin %7.04%7.99%7.74%7.99%9.56%10.03%12.22%12.12%11.07%
PAT Growth YoY %21.99%-30.01%41.69%41.51%27.09%38.54%-22.54%
Earnings Per Share (EPS)₹25.31₹30.87₹21.58₹30.62₹43.33₹55.06₹76.28₹59.09₹77.27
Diluted Shares Outstanding (Cr.)363636363636363636
Profit/Loss from Associates00000-0000
Other Comprehensive Income (Net of Tax)7-48-17274-128-3914-19
Expenses11,67412,5079,22512,44614,73417,41019,52615,65322,545
Material Cost %22.85%21.47%17.86%21.17%22.75%22.53%22.63%39.83%42.42%
Employee Cost %11.39%11.7%15.55%12.4%11.19%10.29%10.27%9.75%10.24%
Other Cost %33.63%32.82%33.69%28.83%28.66%27.88%29.28%15.44%14.53%
Interest Coverage (x)137.76108.7325.4749.5139.6795.0245.86114.3571.28

Siemens revenue and profit trend

Reported annual revenue and net profit, oldest to newest. Two panels because the two measures live on different scales — one shared axis would distort both.

Siemens balance sheet

Assets, liabilities and shareholders' equity as reported, in Schedule III order. Figures in ₹ crore unless a row states otherwise.

Siemens annual balance sheet with assets, liabilities and equity. Figures in ₹ crore unless a row states otherwise.
Line itemMar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Total Equity8,2999,0499,49210,35711,61813,09615,36613,23813,851
Equity Share Capital717171717171717171
Reserves & Surplus8,2288,9789,42110,27811,53913,01615,28613,15613,769
Equity Method Investments11
Total Equity8,2999,0499,49210,35711,61813,09615,36613,23813,851
Non-Current Liabilities2763125098165016231,130719998
Deferred Tax Liabilities1099288
Non-Current Provisions215264328341426791419519
Other Non-Current Liabilities15143342573
Non-Current Financial Liabilities463417947277197230208319
Current Liabilities5,7625,9975,6606,7857,9908,4588,9126,0326,451
Short-term Borrowings3
Trade Payables3,0583,3052,7873,6724,0404,2374,7003,7354,073
Current Financial Liabilities3,4643,6333,1334,1614,8174,9005,6604,5014,629
Other Current Financial Liabilities406328346487777663960766556
Other Current Liabilities1,2901,4031,6411,6152,0412,2461,9759091,297
Current Provisions8889148749679901,1911,077560504
Liabilities Held for Sale19988
Current Tax Liabilities1194713421421222006320
Total Liabilities6,0376,3096,3687,6018,4919,16910,0426,7517,449
Total Non-Current Assets3,3182,7913,1444,8054,8244,6595,2514,6454,722
Property, Plant & Equipment (PPE)1,2451,1891,1671,3041,2321,2001,3399311,108
Capital Work-in-Progress635888345150103206249
Intangible Assets321631564505452389358
Investment Property10400977565646262
Non-Current Investments111
Loans – Non-Current531123506213383207263105
Other Non-Current Assets9591,0249749589831,0431,5311,2321,220
Non-Current Financial Assets646245634560583363118317229
Net Fixed Assets1,3111,2491,2561,9681,8471,7541,8941,5251,715
Total Current Assets11,01812,56812,12413,15215,26617,56920,15715,34516,579
Inventories1,1501,1201,1151,7972,1652,5052,6311,9962,589
Trade Receivables3,6713,8163,1403,6833,7864,7074,4102,9823,902
Cash & Cash Equivalents2,5567131,9174481,0011,1921,8362,1501,694
Loans – Current343729272606328522462488733
Current Financial Assets9,4799,8379,3979,65610,96913,09814,65010,45610,692
Other Current Assets3891,6111,6111,7002,1321,9662,8772,8923,298
Other Current Financial Assets1,774291275208271218210311445
Assets Held for Sale5931937
Net Working Capital5,2566,5716,4636,3687,2769,11111,2459,31310,128
Additional Asset Fields27024425255105171396260249
Def Tax Assets2702442524798163387249238
Non Controlling Int88991111
Total Assets14,33615,35815,86017,95820,10922,26525,40819,98921,301
Total Borrowings3
Net Debt-446
Debt to Equity (x)0
Current Ratio (x)1.912.12.141.941.912.082.262.542.57

Siemens cash flow statement

Cash generated and used across operating, investing and financing activities. Figures in ₹ crore unless a row states otherwise.

Siemens annual cash flow statement across operating, investing and financing activities. Figures in ₹ crore unless a row states otherwise.
Line itemMar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Net Cash from Operating Activities1,4229791,4001,670375-535
Profit Before Tax1,4201,7122,6403,6392,2823,054
Depreciation & Amortisation301317321330295442
Finance Costs253623612141
Working Capital Changes234-362-437-671-1,464-2,993
Tax Paid-374-522-803-831-912-1,124
Net Cash from Investing Activities-2,389-35-759-5053,1213,688
Purchase of PPE-118-156-202-342-380-553
Sale of Fixed Assets10254824088
Interest Received210226417608576792
Net Cash from Financing Activities-502-392-450-523-3,186-3,302
Proceeds from Borrowings300000
Repayment of Borrowings-172-30000
Interest Paid-14-25-5-1500
Dividend Paid-249-285-356-357-428-429
Buyback / Redemption of Shares000000
Lease Liabilities Paid-69-80-89-102-107-153
Net Change in Cash-1,469552191644310-142
Effect of Foreign Exchange Changes01-0307
Free Cash Flow1,3048231,1981,327-6-1,088
CFO / PBT (x)10.570.530.460.16-0.18

Siemens key ratios

Valuation, profitability, return, leverage and per-share measures computed from reported statements — not from adjusted or normalised earnings.

Siemens valuation, profitability, return and leverage ratios
RatioCategoryValue
P/E (TTM)Valuation47.42
Forward P/EValuation54.38
P/BValuation9.43
PEG (TTM)Valuation6.86
EV / EBITDA (TTM)Valuation22.7
P/S (TTM)Valuation7.18
Operating marginProfitability11.4%
Net margin (TTM)Profitability8.66%
Return on equityReturn ratios16.3%
Return on capital employedReturn ratios21.2%
Debt to equityLeverage & liquidity0.02
BetaLeverage & liquidity1.2
EPS (TTM)Per share₹47.56
Book valuePer share₹388.92
Revenue / share (TTM)Per share₹504.5
Cash flow / sharePer share₹10.52
Dividend yieldShareholder returns0.39%
Dividend payout (TTM)Shareholder returns25.31%

How this is calculated

Statements are as filed with the exchanges. Consolidated figures are shown where reported. Figures are in rupees crore unless the table states otherwise. Ratios are computed from the same reported statements, not from adjusted or normalised earnings.

Index membership reflects the Nifty 100 as published by NSE Indices, effective 2026-03-30.

Siemens: frequently asked questions

What is Siemens's annual revenue?

Siemens reported revenue of ₹24,846 crore in Mar 2026, up 43.1% on the previous financial year.

Is Siemens profitable?

Siemens reported a net profit of ₹2,752 crore in Mar 2026, up 30.8% on the previous financial year.

What is Siemens's EPS?

Siemens reported earnings per share of ₹77.27 for Mar 2026.

What is Siemens's operating margin?

Siemens's operating margin for Mar 2026 was 11.37%.

What is Siemens's return on equity?

Siemens's return on equity stands at 16.30%. ROE measures profit generated per rupee of shareholder equity.

How many years of Siemens financials are shown?

9 reported financial years are tabulated on this page, the most recent being Mar 2026.

Are these figures consolidated or standalone?

Consolidated figures are shown wherever the company reports them, and standalone otherwise. The basis in use is labelled on the statement table.

Comparing financial statements across companies is more useful than reading one in isolation — the peer links above open the same view for Siemens’s closest listed competitors.

Disclaimer

The data, ratios and commentary about Siemens Limited (SIEMENS) on this page are published for educational and informational purposes only and are not investment, legal or tax advice. StockeZee is not a SEBI-registered investment adviser, research analyst or portfolio manager, and no content here should be construed as a recommendation to buy, hold or sell any security. Live and historical market data may be delayed, revised by the exchanges, or contain errors; figures sourced from third-party feeds and corporate disclosures may not always be current. Past performance is not indicative of future results, and equity investments carry the risk of capital loss. Before acting on anything you read here, please consult a SEBI-registered financial advisor and read all scheme-related documents carefully.