Siemens Aktiengesellschaft

TickerSIE.XETRA
Current Price
Siemens Aktiengesellschaft – stock chart

5-year stock timeline

Siemens (SIE.XETRA) — latest price 256.8 (as of 2026-05-20).

Major events

In 2020, Siemens completed the formation and public listing of Siemens Energy as part of a structural separation, marking a deliberate shift toward a leaner operating model. Roland Busch took over as President and CEO in February 2021, and the company signaled a strategic pivot at its June 2021 Capital Market Day while raising guidance on the back of a strong fiscal start. Through 2023 and 2024, Siemens systematically transferred its Siemens Energy stake to its pension trust—6.8% in June 2023 and a further 8% in December 2023—materially reducing direct exposure, while simultaneously committing to multi-billion investment initiatives aimed at growth and operational resilience.

Investor narrative

The market's reading of Siemens shifted between 2020 and 2021 from conglomerate restructuring toward a tighter *technology and industrial digitalisation* thesis following the energy spin-off and the 2021 Capital Market Day messaging. Sentiment turned more complicated from 2022 through 2024 as Siemens Energy's operational strain and financing events (recapitalisation and guarantee actions within the broader Energy and Gamesa ecosystem) created governance and valuation questions that bled into perceptions of the group itself. By 2024–2026, the public narrative has increasingly centered on portfolio simplification, industrial software and automation investments, and dependable cash generation—positioning Siemens as a *steady industrial compounder* with selective, disciplined growth exposure.

Key technical phases

The 2020 period saw pronounced pandemic-era swings and an initial sharp decline around early macro shocks, followed by recovery as restructuring milestones came into view later in the year. A sustained uptrend through 2020 and 2021 drew strength from operational beats and raised guidance, with multiple breakout phases following the Capital Market Day and early fiscal results. From 2022 into 2023, the stock moved sideways with episodic selloffs tied to Siemens Energy headlines, stake transfers and sector uncertainty, punctuated by retests of key support levels.

Key risks and downside factors

Siemens operates across industrial automation, energy, mobility and healthcare, competing directly with global heavyweights like ABB, Schneider Electric and General Electric. The competitive advantage goes to whoever can scale fastest, integrate electrification and digital capabilities, and own the overlaps—grid, automation, rail—where established players leverage their global service networks to compound their reach. The business carries real cyclicality risk tied to industrial capex spending, supply-chain friction and raw-material swings, plus regulatory and geopolitical exposure. And there's pressure from software-first competitors who are gradually eroding margins in spaces where Siemens still thinks in hardware terms.

  • Cyclical industrial-capex exposure means downturns in manufacturing, utilities, or transport can crimp order intake and leave earnings visibility thin [5].
  • Supply-chain and commodity risk: Shortages or rising costs of semiconductors, steel, and copper can delay projects and compress margins.
  • Regulatory and geopolitical friction—export controls, tariffs, local content requirements in energy and mobility—can upend contracts and pile on compliance costs without warning.
  • Competitive and technological disruption can chip away at pricing power—large diversified rivals and software-first automation firms tend to force the hand on R&D spending [1].

Competitive landscape

Siemens operates across electrification, industrial automation, mobility and healthcare, where it faces established competitors like ABB, Schneider Electric and GE alongside specialized automation vendors and regional low-cost players. The company is moving toward software and platform-based industrial solutions—Xcelerator and MindSphere being the main pushes—which shifts the competitive landscape to include cloud providers, analytics firms, and software-first companies that weren't traditional rivals before. What matters more for the downside: industrial demand swings with the cycle, large projects carry execution and integration risk, pricing gets relentless from global competitors, and operating in critical infrastructure means regulatory and geopolitical exposure that can move quickly.

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Performance Figures of Siemens Aktiengesellschaft

in EUR

1M High / Low
276.45 / 239.35
52W High / Low
276.45 / 198.00
5Y High / Low
276.45 / 93.67
1M
+5.88%
3M
+6.76%
6M
+19.67%
1Y
+18.00%
3Y
+72.76%
5Y
+115.07%

Relative Performance vs Benchmarks

PeriodSiemens Aktiengesellschaft vs DAX vs S&P 500 (SPY)
1M +5.88% +5.64% +2.35%
3M +6.76% +9.03% -0.73%
6M +19.67% +13.68% +7.70%
1Y +18.00% +16.17% -7.18%
3Y +72.76% +22.38% -9.38%
5Y +115.07% +56.52% +25.74%

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Historical valuation trends

How the company’s key valuation ratios (P/E, P/S, P/B and P/CF) have evolved over time compared to today.

PeriodP/E RatioP/S RatioP/B RatioP/CF Ratio
Current26.12.53.117.2
1Y ago18.02.33.114.7
3Y ago21.41.72.812.5
5Y ago21.51.92.710.6

Frequently Asked Questions

Where is the Siemens Aktiengesellschaft stock traded?

The Siemens Aktiengesellschaft stock trades under the ticker SIE.XETRA on the XETRA exchange. ISIN: DE0007236101.

What does Siemens Aktiengesellschaft do?

Siemens Aktiengesellschaft is a company characterized by the following investment thesis:

What are the key metrics for SIE.XETRA?

Key metrics for SIE.XETRA include valuation (P/E 27, P/S 2.5, P/B 3.1), profitability (profit margin 9.69%, ROE 12.59%), and growth (revenue —, earnings —). Market capitalization is 198.69B EUR. These metrics give an overview of the company's financial performance and valuation.

How has Siemens Aktiengesellschaft's stock price performed?

Siemens Aktiengesellschaft's stock has returned — over 1 year, — over 3 years, and — over 5 years. Performance can vary depending on market conditions and company developments.

How is SIE.XETRA valued?

SIE.XETRA has the following valuation metrics: P/E Ratio: 27, P/S Ratio: 2.5, P/B Ratio: 3.1. These metrics help assess whether the stock is fairly valued compared to its fundamentals.

Does SIE.XETRA pay dividends?

Yes, SIE.XETRA pays dividends with a dividend yield of 2.1%. Dividends can be an important component of the total return on an investment.

What are the key risks when investing in SIE.XETRA?

Key risks for SIE.XETRA include: Siemens operates across industrial automation, energy, mobility and healthcare, competing directly with global heavyweights like ABB, Schneider Electric and General Electric. The competitive advantage goes to whoever can scale fastest, integrate electrification and digital capabilities, and own the overlaps—grid, automation, rail—where established players leverage their global service networks to compound their reach. The business carries real cyclicality risk tied to industrial capex spending, supply-chain friction and raw-material swings, plus regulatory and geopolitical exposure. And there's pressure from software-first competitors who are gradually eroding margins in spaces where Siemens still thinks in hardware terms.
  • Cyclical industrial-capex exposure means downturns in manufacturing, utilities, or transport can crimp order intake and leave earnings visibility thin [web:5].
  • Supply-chain and commodity risk: Shortages or rising costs of semiconductors, steel, and copper can delay projects and compress margins.
  • Regulatory and geopolitical friction—export controls, tariffs, local content requirements in energy and mobility—can upend contracts and pile on compliance costs without warning.
  • Competitive and technological disruption can chip away at pricing power—large diversified rivals and software-first automation firms tend to force the hand on R&D spending [web:1].
Investors should consider these risk factors carefully before making an investment decision.

Who are the main competitors of Siemens Aktiengesellschaft?

Siemens Aktiengesellschaft competes with several listed peers in its sector. Siemens operates across electrification, industrial automation, mobility and healthcare, where it faces established competitors like ABB, Schneider Electric and GE alongside specialized automation vendors and regional low-cost players. The company is moving toward software and platform-based industrial solutions—Xcelerator and MindSphere being the main pushes—which shifts the competitive landscape to include cloud providers, analytics firms, and software-first companies that weren't traditional rivals before. What matters more for the downside: industrial demand swings with the cycle, large projects carry execution and integration risk, pricing gets relentless from global competitors, and operating in critical infrastructure means regulatory and geopolitical exposure that can move quickly.
  • General Electric Company (GE.NYSE)
  • Honeywell International Inc. (HON.NYSE)
These competitors influence pricing power, growth opportunities and relative valuation.

When does Siemens Aktiengesellschaft report earnings?

Siemens Aktiengesellschaft's next earnings report date is August 6, 2026.

Key Metrics

Market Capitalization
198.69B EUR
P/E Ratio
26.97
Analyst Target Price

Valuation Metrics

P/S Ratio
2.49
P/B Ratio
3.08

Profitability Metrics

Profit Margin
9.69%
Operating Margin
12.73%
Return on Equity
12.59%
Return on Assets
3.54%

Growth Metrics

Revenue Growth
Earnings Growth

Dividend history

Long-term record of paid dividends (amount per share and dividend yield at the time of payment).

YearDividendYield at paymentAvg. yield
20265.35 EUR2.08%3.32%
20255.20 EUR2.29%
20244.70 EUR2.77%
20234.25 EUR2.84%
20224.00 EUR2.76%
20213.50 EUR2.57%
20203.90 EUR3.80%
20193.80 EUR4.22%
20183.70 EUR3.36%
20173.60 EUR3.25%
20163.50 EUR4.29%
20153.30 EUR3.67%
20143.00 EUR3.36%
20133.00 EUR4.10%
20123.00 EUR4.44%

Earnings history & estimates

Historical earnings performance shows how consistently the company meets or exceeds analyst expectations. Forward estimates provide insight into expected profitability and growth trajectory.

Historical earnings performance

52.4%
Beat estimate
46%
Miss estimate
+21.81%
Avg surprise when beat
-26.44%
Avg surprise when miss

Reports analyzed: 63

Upcoming earnings report

August 6, 2026
Next earnings date

Analyst estimates for upcoming periods

Next year
September 30, 2027
Consensus12.69
Range10.63 – 14.52
18 analysts
Est. growth vs prior: 12.43%
Revisions: 7d ↑1 ↓0 · 30d ↑3 ↓3
Next year
September 30, 2023
Consensus8.49
Range7.36 – 9.83
22 analysts
Est. growth vs prior: 62%
Revisions: 7d ↑0 ↓0 · 30d ↑2 ↓2

Key financial figures

All figures in EUR

Selected income statement, balance sheet and cash flow figures. Annual and quarterly, based on reported IFRS/GAAP financials.

20252024202320222021
Revenue78.91B75.93B74.88B71.98B62.27B
Operating income (EBIT)9.09B9.56B9.45B7.40B6.69B
Net income9.62B8.30B7.95B3.72B5.26B
Free cash flow9.08B9.58B10.09B8.16B8.27B
Total assets166.20B147.81B145.07B151.50B139.61B
Equity62.24B51.26B47.79B48.90B44.37B
Net debt41.52B38.76B36.51B40.17B39.16B
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