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TÜV SÜD

Verified

FY2025 · Official Annual Report

€3.6B

Revenue

5.9%

EBIT Margin

30,526

Employees

+6.1%

Revenue Growth

Source

Key Performance Indicators

TÜV SÜD · FY2025 verified data

€3.6B

Revenue

+6.1% YoY

5.9%

EBIT Margin

Operating efficiency

€220M

Free Cash Flow

€148M

Net Profit

€345M

Operating Cash Flow

30,526

Employees

€216M

EBIT / Op. Profit

Income Cascade

From Revenue down through each profit metric · TÜV SÜD · FY2025

Revenue vs Peers

All TIC competitors · FY2025 · Click a peer bar to see quick stats

#6 of 10

TÜV SÜD ranks #6 of 10 by revenue. The market leader is DNV, generating 9.7× more revenue.

Operating Margin vs Peers

Best available margin metric per company · FY2025 · Dashed line = 15% industry benchmark · Click a peer bar to see quick stats

#6 of 6

TÜV SÜD ranks #6 of 6 by margin. Closing the 20.0pp gap to leader UL Solutions would represent a significant efficiency opportunity.

Revenue Growth Comparison

Reported growth vs organic growth · FY2025 · Current company highlighted

Reported Growth
Organic Growth

TÜV SÜD ranks #3 of 8 for revenue growth at +6.1%. The fastest-growing peer is TÜV Rheinland.

Free Cash Flow vs Peers

Reported or adjusted FCF · FY2025 · Click a peer bar to see quick stats

#5 of 5

TÜV SÜD ranks #5 of 5 for free cash flow. The leader Eurofins generates 4.9× more FCF, suggesting stronger cash conversion.

Workforce Scale vs Peers

Employee headcount · FY2025 · Click a peer bar to see quick stats

#5 of 10

Competitive Profile Radar

TÜV SÜD scored against the best-in-class peer in each dimension · FY2025

Each axis = score relative to best-performing peer (100 = top of set)

Margin Breakdown

All disclosed margin metrics · TÜV SÜD · FY2025

EBIT Margin5.9%
0%Industry benchmark: 15%30%

Financial Statement

TÜV SÜD · FY2025 · Official Annual Report

Income & Cash Flow Summary

Revenue

€3,639.2M

Operating Profit / EBIT

5.9% of revenue

€215.5M

Net Profit

4.1% of revenue

€147.7M

Operating Cash Flow

9.5% of revenue

€344.7M

Free Cash Flow

6.0% of revenue

€219.5M

CapEx

3.5% of revenue

€126.7M

Intelligence Highlights

Key strategic and financial signals derived from disclosed data

EBIT margin of 5.9% is the lowest in the competitive set — structural cost pressure from heavy inspection operations.

Revenue growth of 6.1% is solid but masks margin compression — a key strategic risk.

Free cash flow of €219.5M versus EBIT of €215.5M indicates strong working capital management.

CapEx of €126.7M reflects continued investment in laboratory and digital infrastructure.

Data Source Attribution

PeriodFY2025
TypeOfficial Annual Report
VerifiedYes — official source