1&1 AG

FSX:1U1.DE

13.54 (EUR) • At close September 18, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) EUR.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3.1974.6774.5554.3631.7853.968149.68192.771123.432317.09187.03277.30320.68827.59126.9154.32584.6819.038019.6529.9482.504
Kortetermijnbeleggingen 0.5280.4521.2384.30.6952.8831.8232.81100000000000000
Liquide middelen en kortetermijnbeleggingen 3.1975.1295.7938.6632.486.851149.68192.771123.432317.09187.03277.30320.68827.59126.9154.32584.6819.038019.6529.9482.504
Nettovorderingen 1,483.1281,725.2381,792.1971,454.8611,193.693965.136442.826112.924124.22449.63446.96642.6843.16428.8533.43424.60300016.7849.9210
Voorraad 190.045120.38596.46985.36679.22789.54846.4679.98432.3845.4886.2427.9298.9227.7056.2675.61510.595.81208.3259.2854.488
Overige vlottende activa 251.1144.4454.3364.413.8253.04917.578-15.2073.8391.3991.8362.9232.4176.2298.298.5447.7923.30847.9025.630.01415.136
Totaal vlottende activa 1,927.4841,855.1971,898.7951,553.2971,309.2251,064.584656.552200.472283.879373.611242.076130.83575.19170.37574.90643.083143.06138.15866.57450.38769.16822.128
Niet-vlottende activa:
Materiële vaste activa, netto 501.029262.655142.978122.864.49614.25914.70210.58411.0122.5961.4121.4651.2371.4021.2741.7230.2170.21702.153.0783.16
Goodwill 2,932.9432,932.9432,932.9432,932.9432,932.9432,932.9432,932.94398.546106.99467.20667.20667.20667.20667.20667.20666.466.4034.57234.57237.86213.162
Immateriële activa 1,560.1441,590.5411,608.7421,740.5911,686.028746.816901.414255.33271.34131.30234.22840.72610.86911.27114.04415.91219.27504.4414.164.1532.913
Goodwill en immateriële activa 4,493.0874,523.4844,541.6854,673.5344,618.9713,679.7593,834.357353.876378.33598.508101.434107.93278.07578.47781.2582.31285.67538.64839.01338.73242.01516.075
Langetermijnbeleggingen 209.382218.813207.627198.096175.59167.76986.28560.9320.4990000014.5960-2.90600-2.1500.089
Belastingvorderingen 0-218.813-207.627-198.096-175.59-167.769144.58612.69714.9770.7437.37422.5572.7941.5731.8772.9222.90603.333.9476.9874.021
Overige niet-vlottende activa 609.324615.749480.272340.706469.252488.038-0.775-60.37100.0930.033259.786236.392122.758131.36452.219157.028173.8791.8012.150.0260.001
Totaal niet-vlottende activa 5,812.8225,401.8885,164.9355,137.045,152.7194,182.0564,079.155377.718404.823101.94110.253391.74318.498204.21230.361139.176242.92212.74444.14444.82952.10623.346
Totaal activa 7,740.3067,257.0857,063.736,690.3376,461.9445,246.644,735.708595.204688.702475.551352.329522.575393.689274.585305.267182.259385.981250.902110.71895.216121.27445.474
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 277.053229.137262.592319.866266.369365.202229.54944.9480.91121.78415.77516.12225.10324.75727.5417.91514.36408.77318.62943.53214.023
Kortlopende schulden 17.99610.97711.59512.4777.5735.26713.60651.040.6940.8850.5190.5560.5290.45720.0032013.76700.24700.2740.475
Belastingschulden 61.78268.469131.95743.20253.72557.98770.8015.8388.094000.2955.737.1969.5678.3051.0350.3412.7720.7891.8920.245
Uitgestelde opbrengsten 57.47955.37754.84749.9943.71557.987432.08832.08887.37613.37817.41132.09128.84934.03111.66311.50511.931011.541011.5083.984
Overige kortlopende verplichtingen 364.084254.204326.967192.227231.238218.4680.00125.67832.1529.5197.64717.08911.18514.08133.49527.51631.11018.79118.34314.3370.815
Totaal kortlopende verplichtingen 716.612549.695656.001574.56548.895646.924675.244153.746201.13345.56641.35265.85865.66673.32692.70266.93671.172039.35236.97269.65119.297
Langlopende verplichtingen:
Langetermijnschulden 170.51191.69290.6985.70240.21500.26795.02791.97589.99986.81261.858151.53857.61159.5930.4680.40200.039000.169
Uitgestelde opbrengsten niet-vlottend 11.0657.2977.4476.9174.964.5434.61218.23911.2911.5250.97600000.9750.98200000
Uitgestelde belastingverplichtingen niet-vlottend 207.781224.051219.383234.005229.748247.88245.50628.06231.1693.0512.9285.964.3782.7713.56.7265.637000.2540.510.581
Overige niet-vlottende verplichtingen 747.263804.509871.008935.393997.2867.2184.99916.730.1114.2672.62168.4477.0820.4990.95675.41374.11900.604000
Totaal niet-vlottende verplichtingen 1,136.621,127.5491,188.5281,262.0171,272.203319.641255.384158.058134.54698.84293.335336.265162.99860.88164.04983.58281.1400.6430.2540.510.75
Totaal passiva 1,853.2321,677.2441,844.5291,836.5771,821.098966.565930.628311.804335.679144.408134.687402.123228.664134.207156.751150.518152.312138.56339.99537.22670.16120.047
Eigen vermogen:
Preferente aandelen 00.5860.8791.020.9760.70400.6360.4170000000000000
Gewone aandelen 194.442193.93193.93193.891193.891194194.44160.24160.24158.50852.853.57757.09358.50858.50854.70658.508034.60634.634.95123.929
Ingehouden winsten 3,254.6922,948.5572,590.0442,228.8352,018.0551,653.2481,163.554-102.887-33.48310.8337.555-55.819-43.108-57.51-41.345-142.44524.3317.1912.646-1.892-13.922-16.522
Overige gereserveerde algehele resultaten -0.862-0.586-0.879-1.02-0.976-0.7042,447.085-0.636-0.4170000000000000
Overige totale aandeelhoudersvermogen 2,438.8022,437.3542,435.2272,431.0342,428.92,432.8270326.046326.265261.805127.287122.694151.04139.179130.908119.48150.83195.14833.47125.28230.08418.02
Totaal eigen vermogen van aandeelhouders 5,887.0745,579.8415,219.2014,853.764,640.8464,280.0753,805.08283.4353.023331.143217.642120.452165.025140.177148.07131.741233.669112.33970.72357.9951.11325.427
Totaal eigen vermogen 5,887.0745,579.8415,219.2014,853.764,640.8464,280.0753,805.08322.841353.023331.143217.642120.452165.025140.378148.51631.741233.669112.33970.72357.9951.11325.427
Totaal passiva en aandeelhoudersvermogen 7,740.3067,257.0857,063.736,690.3376,461.9445,246.644,735.708595.204688.702475.551352.329522.575393.689274.585305.267182.259385.981250.902110.71895.216121.27445.474