Barry Callebaut AG

SIX:BARN.SW

1367 (CHF) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 978.214488.203878.1971,095.8311,385.976557.827404.183399.292456.8125.15185.49665.61853.89841.97717.3633.99335.17235.71438.22926.68237.4536.50259.705
Kortetermijnbeleggingen 0.1370.1281.8241.4676.2511.54912.06622.25918.21114.64710.09334.560.6590.4330.752.1370.9475.4242.0480.476000
Liquide middelen en kortetermijnbeleggingen 978.351488.331880.0211,097.2981,392.227559.376416.27421.597475.024144.56695.589100.17854.55742.4118.1136.1336.11941.13840.27727.15837.4536.50259.705
Nettovorderingen 1,762.677532.548547.521484.974387.404449.196475.246408.807843.157418.815546.608536.473507.092392.45900411.111360.659408.356412.29440.80100
Voorraad 5,622.42,925.7322,426.4852,043.3331,909.9171,803.6741,476.6671,279.331,623.8071,629.8141,762.1141,446.3871,108.1711,065.6531,186.2311,294.5451,414.6011,102.137946.022852.582987.5011,068.612926.009
Overige vlottende activa 3,816.4811,547.409882.77640.473651.4641,045.848958.383879.078804.4011,050.657678.721416.162481.995308.268960.72751.985117.509303.093126.09179.278193.731557.644595.209
Totaal vlottende activa 12,179.9095,521.7554,759.2974,266.0784,341.0123,858.0943,326.5662,988.8123,339.8353,243.8522,991.9112,455.0022,151.8152,054.7142,165.0612,082.662,305.7861,975.4111,626.9381,565.9471,660.5841,662.7581,580.923
Niet-vlottende activa:
Materiële vaste activa, netto 1,822.531,771.7261,815.0921,864.6331,678.7011,498.8781,420.8851,385.7731,262.2271,184.5431,178.5291,085.74799.758655.846830.866872.458890.913724.13719.25725.909746.095663.747679.376
Goodwill 749.6806.847861.231829.587822.779859.63830.974760.814761.666734.805729.746729.98800000345.237341.605340.53000
Immateriële activa 133.236953.7851,020.417995.483985.684166.701160.536165.336165.623161.263164.10253.9320465.905512.494493.684471.3365.71354.85939.407316.803361.355362.41
Goodwill en immateriële activa 882.8361,760.6321,881.6481,825.071,808.4631,026.331991.51926.15927.289896.068893.848783.92526.525465.905512.494493.684471.33410.95396.464379.937316.803361.355362.41
Langetermijnbeleggingen 0-806.847-861.231-829.587-822.7792,386.5510.4340.5020.6270.951.0945.0883.9143.6082.7292.4132.792.3264.9526.43755.0254.72
Belastingvorderingen 305.555208.527266.175185.576148.632138.658107.469189.993197.43698.78294.97488.24587.09376.72451.36151.91845.32643.73149.48536.63318.93111.45220.908
Overige niet-vlottende activa 83.24467.54868.7940.65252.167-2,525.209-107.903-189.993-197.436-98.782-94.974-88.2457.5236.3348.33611.71413.31830.12414.74119.25213.0498.373.231
Totaal niet-vlottende activa 3,094.1653,001.5863,170.4743,086.3442,865.1842,525.2092,412.3952,312.4252,190.1432,081.5612,073.4711,874.7481,424.8131,208.4171,405.7861,432.1871,423.6771,211.2611,184.8921,168.1681,099.8781,049.9491,070.645
Totaal activa 15,274.0748,523.3417,929.7717,352.4227,206.1966,508.1325,832.0425,466.545,640.8035,429.3885,167.5144,526.9123,576.6283,263.1313,570.8473,514.8473,729.4633,186.6722,811.832,734.1152,760.4622,712.7072,651.568
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,810.5171,143.8061,202.076891.208652.379632.152657.738628.4871,123.198651.299605.86522.907657.605417.187769.537429.98465.846384.708318.572271.198273.773308.209235.029
Kortlopende schulden 1,542.065660.97554.526235.183615.986346.096313.084344.83756.834688.665487.698251.47534.287147.29713.466252.223457.38463.088386.606233.683325.475494.779877.045
Belastingschulden 0132.253114.84115.351100.82960.07952.51852.0544.51975.29458.83856.38138.28270.16541.96836.02632.92641.1149.99548.09326.41819.57713.798
Uitgestelde opbrengsten 1.0551.3110.7852.9074.1733.9580.3882.131-756.654-679.173-475.11-244.075530.134000737.688324.406197.097026.41819.57713.798
Overige kortlopende verplichtingen 5,525.2012,259.0621,239.671910.303997.0121,236.711,129.199850.498351.345831.628579.471440.484517.144613.475562.555573.133735.638864.652297.237388.729407.787343.15443.319
Totaal kortlopende verplichtingen 8,878.8384,197.4023,111.8982,154.9522,370.3792,278.9952,152.9271,877.9962,275.8962,246.9241,731.9371,271.2471,247.3181,248.1241,387.5261,291.3621,691.7941,353.5581,052.41941.7031,033.4531,165.7151,569.191
Langlopende verplichtingen:
Langetermijnschulden 3,254.3161,136.0421,524.532,154.5182,156.6531,533.8181,168.7971,170.7431,153.0271,176.1591,416.061,363.46845.904631.688588.541728.293621.892565.181569.204758.978659.481575.154146.209
Uitgestelde opbrengsten niet-vlottend 266.222236.002222.504224.464150.3251,401.7461,055.0861,008.9351,007.51,116.3311,356.0611,302.42950.09153.272110.975126.903136.148176.23788.868-294.297208.118149.403177.595
Uitgestelde belastingverplichtingen niet-vlottend 180.564177.802275.883194.702145.085132.072112.682161.808145.23159.62959.66460.57453.97650.10558.72168.45564.44954.4847.10640.241.88447.13959.871
Overige niet-vlottende verplichtingen -147.486292.753388.997357.735323.897281.707224.807291.689240.669159.562164.118205.9417.599.82710.94643.138.866150.51950.794154.4549.7099.411.74
Totaal niet-vlottende verplichtingen 3,553.6161,428.7951,913.5272,512.2532,480.551,533.8181,167.7681,170.7431,152.7311,175.961,415.7251,363.003967.561798.164880.158966.751861.355770.18755.972953.632919.192781.106385.415
Totaal passiva 12,432.4545,626.1975,025.4254,667.2054,850.9294,094.523,546.5313,340.4283,669.5923,642.2743,371.7792,840.6472,214.8792,046.2882,267.6842,258.1132,553.1492,123.7381,808.3821,895.3351,952.6451,946.8211,954.606
Eigen vermogen:
Preferente aandelen 00000688.473634.332543.125527.534602.1445.125397.97900000000000
Gewone aandelen 0.110.110.110.110.110.110.1140.014102.093102.093102.093102.093125.114125.114197.494262.119321.574381.029435.314476.674517517517
Ingehouden winsten 4,123.3144,088.7973,797.4143,538.1583,276.0433,107.1612,924.9382,629.4032,394.6782,284.4312,145.121,981.7341,231.9731,092.0041,104.787993.437854.348702.221580.583153.821283.926242.159176.507
Overige gereserveerde algehele resultaten -1,269.787-1,166.62-873.639-839.817-899.351-688.473-634.332-543.125-527.534-602.1-445.125-397.97900000000000
Overige totale aandeelhoudersvermogen -14.215-26.234-21.886-15.594-23.305-19.506-20.92-15.105-1,068.018-11.581-901.688-3.326-389.72800000-16.686-2.537000
Totaal eigen vermogen van aandeelhouders 2,839.4222,896.0532,901.9992,682.8572,353.4972,399.2922,269.7962,111.1871,956.2871,772.8431,790.651,682.5221,357.0871,217.1181,302.2811,255.5561,175.9221,059.069999.211833.378800.926759.159693.507
Totaal eigen vermogen 2,841.622,897.1442,904.3462,685.2172,355.2672,413.6122,285.5112,126.1121,971.2111,787.1141,795.7351,686.2651,361.7491,216.8431,303.1631,256.1451,176.3141,062.9341,003.448838.78807.817765.886696.962
Totaal passiva en aandeelhoudersvermogen 15,274.0748,523.3417,929.7717,352.4227,206.1966,559.9215,873.8325,534.7155,732.3235,429.3885,167.5144,527.1083,576.6283,263.1313,570.8473,514.8473,729.4633,186.6722,811.832,734.1152,760.4622,712.7072,651.568