Ascopiave S.p.A.

MIL:ASC.MI

2.355 (EUR) • At close April 22, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 52.08376.91742.53821.90267.03166.6515.5558.82228.301100.88230.10226.99244.85423.31320.84227.56531.29100.5912.2087.32
Kortetermijnbeleggingen 1.7430.820.9080.7980.7980.1361.511.3043.4870.9532.68724.72314.1894.0882.29500000
Liquide middelen en kortetermijnbeleggingen 52.08377.73743.44622.767.82966.78615.5558.82231.788100.88232.78951.71559.04327.40123.13727.56531.29100.5912.2087.32
Nettovorderingen 115.552156.33748.489109.61592.457210.803209.37186.181211.584147.804166.2890299.01230.416187.99266.248264.491104.682103.43276.018
Voorraad 10.0987.3368.17614.9128.1326.024.0724.3113.5772.4822.3543.0535.2974.2493.4273.1863.2982.7682.4382.973
Overige vlottende activa 7.428.6662.061.1221.4861.0490.4350.2754.22386.09149.957077.37626.47220.37912.13942.2981.3820.4491.092
Totaal vlottende activa 185.153266.41105.873150.746173.373287.29238.532210.73255.273338.21315.997415.152440.726288.538234.933309.138341.377209.423108.52787.403
Niet-vlottende activa:
Materiële vaste activa, netto 156.475138.43258.01233.44334.69432.72432.33432.36434.98736.61439.27740.53461.98343.814329.97319.279288.471273.7720273.026
Goodwill 61.72761.34649.27249.27247.91480.75880.75880.75880.75880.758115.63115.63116.14391.89692.22574.60365.1222.11221.88522.378
Immateriële activa 704.627697.972597.579577.412567.194351.879346.934316.906316.659313.772332.267334.831342.903318.8722.31718.17216.0441.4120.4831.481
Goodwill en immateriële activa 766.354759.318646.851626.684615.108432.637427.692397.664397.417394.53447.897450.461459.046410.766114.54292.77581.16423.52422.36823.859
Langetermijnbeleggingen 313.257435.466520.451514.932449.14768.22181.89382.78964.59165.453-2.686-24.722-14.188-4.087-1.51300000
Belastingvorderingen 39.30139.252-520.451-514.93219.3911.35811.4789.75811.33312.81419.04718.05416.0824.08710.959.9079.5112.63600
Overige niet-vlottende activa 1.4448.738559.82552.2326.57113.30-0.00118.85419.86528.90736.48124.84716.1325.9813.9543.9672.905281.15126.603
Totaal niet-vlottende activa 1,276.8311,381.2061,264.6831,212.3591,124.91558.24553.397522.574527.182529.276532.442520.808547.77470.712459.93425.915383.112312.837303.519323.488
Totaal activa 1,461.9841,647.6161,370.5541,363.1061,298.283845.53791.929733.304782.454867.488848.438935.959988.496759.25694.863735.053724.489522.26412.046410.891
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 73.026180.19534.40166.77452.08270.90744.84325.143.07858.467.512104.673250.083166.079151.861219.922167.86486.86470.37247.256
Kortlopende schulden 149.912184.172200.591166.127137.07131.04580.37864.4997.933184.91594.222183.333193.078097.15168.052115.1533.58781.81287.505
Belastingschulden 0.7953.5964.2296.3597.8579.1510.98811.1997.0113.0975.2836.3986.1253.7220.9880.7150.4396.2553.94711.256
Uitgestelde opbrengsten 2.6822.0651.611.2570.8820.9574.3743.1462.92300000000000
Overige kortlopende verplichtingen 20.22751.76724.73931.41346.38388.398107.785113.309124.434104.364157.496164.97954.794160.01926.21539.71832.25330.03530.822.802
Totaal kortlopende verplichtingen 245.847418.199261.341265.571236.417291.307237.38206.045268.368347.679319.23452.985497.955326.098275.227327.692315.27120.486182.984157.563
Langlopende verplichtingen:
Langetermijnschulden 290.411279.939192.446196.562135.52455.11154.63734.89843.82953.94564.84929.4244.8895.5295.0724.7639.3546.9418.5410.596
Uitgestelde opbrengsten niet-vlottend 36.10834.4727.40126.08224.15216.65311.338.2156.8494.872.7892.25363.749134.561217.035257.667254.05665.703125.449106.002
Uitgestelde belastingverplichtingen niet-vlottend 17.61819.60813.22812.98422.02114.53415.73316.81419.57123.67531.27932.89734.52325.98926.90525.54419.60717.80718.19518.163
Overige niet-vlottende verplichtingen 17.7188.9977.6338.0046.67720.05522.34923.12323.727.65227.61329.589-315.188-112.327-199.472-242.046-244.866-57.579-117.708-85.251
Totaal niet-vlottende verplichtingen 361.855343.014240.708243.632188.374106.353104.04983.0593.949110.142126.5394.156127.97353.75249.5445.92838.15132.87234.47649.51
Totaal passiva 607.702761.213502.049509.203424.791397.66341.429289.095362.317457.821445.76547.141625.928379.85324.767373.62353.421153.358217.46207.073
Eigen vermogen:
Preferente aandelen 195.6230000000000000000000
Gewone aandelen 234.412234.412234.412234.412234.412234.412234.412234.412234.412234.412234.412234.412351.605234.412234.412234.412233.3341400140
Ingehouden winsten 193.57832.664206.162242.343540.097226.171228.66653.63543.01482.46585.5606.26631.17425.28818.45221.76416.38124.52231.169
Overige gereserveerde algehele resultaten 472.186501.717483.393675.119665.854226.136228.62167.53155.359106.1495.377000000000
Overige totale aandeelhoudersvermogen -251.04697.487-55.423-297.971-566.871-243.152-246.187-17.522-17.521-17.66-17.66149.6410.001109.948110.396108.232113.685212.13170.06430.833
Totaal eigen vermogen van aandeelhouders 844.753866.28868.544853.903873.492443.567445.511438.055415.264405.357397.689384.053357.872375.534370.096361.096368.783368.511194.586202.002
Totaal eigen vermogen 854.282886.403868.505853.903873.492447.87450.5444.209420.137409.667402.678388.818362.568379.4370.096361.433371.068368.902194.586203.818
Totaal passiva en aandeelhoudersvermogen 1,461.9841,647.6161,370.5541,363.1061,298.283845.53791.929733.304782.454867.488848.438935.959988.496759.25694.863735.053724.489522.26412.046410.891