Annual Activity Report 2025

FINANCIAL STATEMENTS

Company fi nancial statements – fi nancial year ended December 31, 2025

LIABILITIES

2024

Notes

2023

(in thousands of euros)

Share capital

5.8

136,650

132,076

Additional paid-in capital, merger premiums, share premiums

3,842,919

3,550,601

Legal reserve

13,208

13,208

Statutory or contractual reserves

Other reserves

4,041

4,041

Retained earnings

1,447,631 221,327

1,209,950 237,681

Net income for the period (pro fi t or loss)

Investment subsidies Tax-driven provisions

– –

– –

TOTAL EQUITY

5.9

5,665,775

5,147,557

OTHER EQUITY Proceeds from issues of equity securities

– – –

– – –

Advances subject to covenants

TOTAL OTHER EQUITY

PROVISIONS FOR CONTINGENCIES AND LOSSES Provisions for contingencies

Provisions for losses

140 140

124 124

TOTAL PROVISIONS FOR CONTINGENCIES AND LOSSES

5.10

DEBT Convertible bonds

Other bonds

2,311,982

2,555,429

Bank borrowings

125

Miscellaneous loans and fi nancial liabilities Advances and prepayments on orders

198,000

181,000

Trade payables

38,865

36,581

Taxes and employee-related liabilities

616

2,920

Accounts payable on non-current assets and related accounts

21

240

6

Other liabilities

4,452,794

3,940,206

Financial instruments Deferred income TOTAL LIABILITIES

124

1,030 5,178

1,319

5.11

7,003,846

6,722,583

Currency translation adjustments TOTAL EQUITY AND LIABILITIES

12,669,761

11,870,264

399

Orano - Annual Activity Report 2025

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