Accor, FR0000120404

Accor stock holds after full-year revenue and EBITDA progress

Published on 07/21/2026 at 21:07 | Editorial responsibility: Rafael Müller, Editor-in-Chief AD HOC NEWS

Accor stock tracks 2025 revenue and EBITDA gains as the French hotel group builds around higher room sales, stronger recurring fee income, and disciplined capital returns.

Schwarzweiße dokumentarische Aufnahme eines Hotelflurs mit Wäschewagen und Licht
Schwarzweiß-Reportagefoto eines Hotelflurs zeigt das Kerngeschäft von Accor S.A., ISIN FR0000120404, dokumentarisch und authentisch, Illustration mit AI erstellt.

Accor (FR0000120404) stock is anchored by 2025 numbers that investors can still measure against: revenue rose to EUR 5.61 billion, EBITDA reached EUR 1.12 billion, and the company returned EUR 444 million to shareholders through dividends and buybacks. Those figures frame the share story more clearly than any short-term market noise.

Revenue up 11.5 percent

Accor reported 2025 revenue of EUR 5.61 billion, up 11.5% from EUR 5.03 billion in 2024, according to the companys finance section. The same reporting set shows EBITDA of EUR 1.12 billion, which gives the group a much clearer operating cushion than in a weaker hotel cycle.

The comparison matters because the business is not leaning only on room demand. Fee-based and managed operations are the core of that mix, and the reported 2025 figures show that the group converted scale into cash-generating earnings rather than just top-line growth.

EBITDA reaches EUR 1.12 billion

EBITDA of EUR 1.12 billion in 2025 also sits alongside a EUR 444 million shareholder return program for the year, combining dividends and share buybacks. That is a concrete capital-allocation signal, and it tells the market that management is still willing to support the equity story while hotel demand normalizes.

For investors, the key issue is the pace of earnings conversion. A EUR 1.12 billion EBITDA base gives Accor more room to absorb swings in occupancy, pricing, and regional travel trends than the company had when the cycle was weaker.

Read deeper

Accor 2025 finance details

The companys finance hub groups the latest annual and interim material, including revenue, EBITDA, and shareholder-return details used in this article.

Capital returns stay visible

Accor says the 2025 shareholder return amounted to EUR 444 million, and that number matters because it links operating performance to equity returns. A company can grow revenue, but the market usually rewards the ones that can translate that growth into cash and distributions.

The stock case therefore rests on three dated markers at once: EUR 5.61 billion revenue in 2025, EUR 1.12 billion EBITDA in 2025, and EUR 444 million returned to shareholders in 2025. That combination is more informative than a simple hotel-sector narrative because it shows how Accor is balancing growth, earnings quality, and capital discipline.

Premium brands and services

Accor Group keeps its product mix centered on hotel brands, management contracts, and service fees, with the Novotel, ibis, and Sofitel families among the best-known banners in the portfolio. The product detail matters because recurring fees and brand scale tend to be less volatile than pure ownership-led hotel income.

That structure helps explain why the 2025 revenue and EBITDA figures can coexist with a relatively defensive earnings base. The business model is still exposed to travel demand, but the mix is broader than a simple room-night story.

Revenue and earnings base

The companys latest annual data make the present setup easy to measure: revenue at EUR 5.61 billion, EBITDA at EUR 1.12 billion, and shareholder returns at EUR 444 million, all for 2025. Those are the numbers that define the article of record for Accor stock until a new report changes the picture.

Because the figures are annual and dated, they also provide a solid benchmark for any future update. If growth continues, the next useful comparison will be whether revenue expands faster than costs and whether EBITDA keeps pace with room-rate and occupancy trends.

Accor stock facts

  • Company: Accor S.A.
  • ISIN: FR0000120404
  • Ticker: EURONEXT: AC
  • Trading venue: Euronext Paris
  • Sector / Industry: Consumer Discretionary / Hotels, Resorts & Cruise Lines
  • Index membership: CAC 40

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