Altarea SCA

EPA:ALTA.PA

102 (EUR) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 713.1952.31,625.51,277.5830.2678.51,169.1478.4266358234.9321.8263.2262.446216.835295.891102.88871.497
Kortetermijnbeleggingen 101.7160.6121.11.22.28.210.22015.90.80.50.824.6543.93-2,223.45749.3540.375
Liquide middelen en kortetermijnbeleggingen 713.1952.31,625.51,277.5830.2680.71,177.3488.6286373.9235.7322.3264287.1220.765295.891152.24271.872
Nettovorderingen 836.1782.5781.7732.9742.8573.2237.1192.1149.3131174.900408.1250161.423313.550
Voorraad 1,140.61,159.3965.7900.71,115.3986.61,288.8978.1711.5617.9606.4702.6684.2648.089364.118396.22525.94128.379
Overige vlottende activa -1,549.2-2,894.1-3,372.9-2,911.1-2,688.3492459.8397.9508.1298.9276479.4453.9-0.001426.303261.917164.997162.176
Totaal vlottende activa 3,471.93,906.44,160.23,795.93,605.12,730.33,154.82,046.51,634.91,405.81,292.21,504.31,402.11,343.3131,011.1861,115.4511,156.73262.427
Niet-vlottende activa:
Materiële vaste activa, netto 147.1148.3156.2166.444.34,546.84,527.24,270.23,765.83,174.23,041.611.412.912.23715.557527.6348.349243.908
Goodwill 235.8214.7209.4209.3209.4194.3155.4155.3128.7128.7128.7166.6193.10128.716128.716352.67216.878
Immateriële activa 133.7344.3332.5330.4331.4119.4103.1102.673.4116109110.171.8199.56821.01671.39271.6-15.091
Goodwill en immateriële activa 369.5559541.9539.7540.8313.7258.5257.9202.1244.7237.7276.7264.9199.568149.732200.108424.2721.787
Langetermijnbeleggingen 143.8672.6493.4593.3566.9387.4564412361362.6278.684.292.668.69179.2072,292.05659.539.208
Belastingvorderingen 37.3824.118.531.230.57985.7126.2116.436.22649.549.96262.79163.6820.5785.998
Overige niet-vlottende activa 4,167.53,4983,649.13,817.84,268.4-30.5-79-85.7-126.2-116.4-36.23,219.22,821.32,781.9292,792.50725.7862,524.8291,300.708
Totaal niet-vlottende activa 4,865.24,885.94,864.75,135.75,451.65,247.95,349.74,940.14,328.93,781.53,557.93,617.53,241.23,112.3873,099.7943,109.2663,017.5281,591.609
Totaal activa 8,337.19,087.79,359.48,9509,087.98,019.38,592.87,081.46,132.95,3474,892.95,121.84,643.34,455.74,110.984,224.7174,174.2581,854.036
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,121.4979.71,055.71,127.21,019.6761.8537.5441.6323.8371366.2467.5860.50606.882610.181534.04629.752
Kortlopende schulden 637.7547.4838.51,569.81,016741.91,032.2799.9450.6510.6872.2622.2275.4119.685158.362183.276382.27253.893
Belastingschulden 337.7386.8400.6365.4338.5289.1167.6125.3160111.2127.494.11.22.9683.5821.4886.3075.267
Uitgestelde opbrengsten 295.2387.1201.5221.3184118.7557.8333.6233.6-510.6-872.2609.300121.6690.96613.1210
Overige kortlopende verplichtingen -771.4-764.6-772.8-808.1-649.1-512.7-291.5-156.5-26473.8417.8-872.6-730.3909.769-610.453-602.479-540.35245.942
Totaal kortlopende verplichtingen 2,7422,516.12,779.23,602.82,928.62,160.62,541.11,985.51,465.81,3271,277.61,3881,267.31,032.422886.915893.613929.44164.606
Langlopende verplichtingen:
Langetermijnschulden 2,128.52,322.62,753.52,350.82,697.42,560.72,826.22,280.62,366.41,795.11,684.34,508.42,185.42,311.3412,183.99501,859.372849.876
Uitgestelde opbrengsten niet-vlottend 295.2387.1201.5221.3184118.7557.8336.5236.526.226.829.123.621.82620.292017.042-795.817
Uitgestelde belastingverplichtingen niet-vlottend 7.582.469.469.753.414.58.65.32.57.211.962.925.622.48821.2730.508133.67629.586
Overige niet-vlottende verplichtingen -55.6-469.5-271-290.9-237.4-133.2-566.4-341.8-239-33.4-38.7-2,228.525.325.52225.2732,093.68920.146819.42
Totaal niet-vlottende verplichtingen 2,375.62,322.62,753.42,350.92,697.42,560.72,826.22,280.62,366.41,795.11,684.32,371.92,259.92,381.1772,250.832,124.1972,030.236903.065
Totaal passiva 5,117.55,128.15,815.86,233.35,752.44,789.95,428.14,323.13,8823,177.13,0603,759.93,527.23,413.5993,137.7453,017.812,959.6761,067.671
Eigen vermogen:
Preferente aandelen 1560043.700000000000000
Gewone aandelen 316.9311.4310.1264255.2245.4245.3229.7191.2191.2177.1131.7120.5120.506120.506120.81586.61785.507
Ingehouden winsten -472.9326.8211.6-307.7233.7252.3323167.8108.4114.3146.255.988.2147.02500429.417221.332
Overige gereserveerde algehele resultaten 1,025.11,699.31,4461,284.61,922.31,809.31,150.3832.8665.1445.5410-19.6000000
Overige totale aandeelhoudersvermogen 722.437.7268.5473.9-266.8-306.9186.2390.6265.6499.1418855.7779.4732.557818.052988.46667.992461.195
Totaal eigen vermogen van aandeelhouders 1,747.52,375.22,236.21,758.52,144.42,000.11,904.81,620.91,230.31,250.11,151.31,023.7988.11,000.088938.5581,109.2751,184.026768.034
Totaal eigen vermogen 3,219.63,959.63,543.62,716.73,335.53,229.43,164.72,758.32,250.92,169.91,832.91,361.91,116.11,042.101973.2351,158.0911,214.582786.365
Totaal passiva en aandeelhoudersvermogen 8,337.19,087.79,359.48,9509,087.98,019.38,592.87,081.46,132.95,3474,892.95,121.84,643.34,455.74,110.984,224.7174,174.2581,854.036