Bertrandt Aktiengesellschaft

FSX:BDT.DE

21.1 (EUR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 121.36161.557190.205187.23391.49188.405139.266159.82113.06841.54347.25321.51736.67748.08144.35530.46314.2684.2434.1056.4847.2086.552
Kortetermijnbeleggingen 4.8494.0113.7643.1562.873-1.408-1.474-1.54-1.758-1.973-2.18320.2570000000000
Liquide middelen en kortetermijnbeleggingen 126.209165.568193.969190.38994.36488.405139.266159.82113.06841.54347.25321.51736.67748.08144.35530.46314.2684.2434.1056.4847.2086.552
Nettovorderingen 393.01332.543263.368269.742357.078361.227316.083305.842308.497249.575227.394217.002000133.0850056.29152.74558.57573.604
Voorraad 0.8350.9480.8120.860.9931.1561.1820.8890.5580.6140.7490.560.5280.470.4160.4660.3710.3111.54616.37716.1219.146
Overige vlottende activa 13.48212.93117.56519.67115.66418.69321.06624.97218.70913.75412.13229.91173.892119.97585.8360.051107.91177.1980.7761.1530.7821.594
Totaal vlottende activa 533.536511.99475.714480.662468.099469.481477.597491.524340.832305.486287.526251.987211.097168.526130.607164.065122.5581.75172.71876.75982.68690.896
Niet-vlottende activa:
Materiële vaste activa, netto 355.095373.841391.406413.056302.855282.104264.284235.8184.823132.36589.48876.4156.33944.13341.62140.83333.83629.04831.04234.40435.83139.556
Goodwill 35.59227.7339.3089.3089.3089.0029.0029.0029.0029.0029.0029.0020000000000
Immateriële activa 5.927.1354.9775.2584.7094.7226.7388.4788.4536.5465.264.93411.48610.57911.4170000000
Goodwill en immateriële activa 41.51234.86814.28514.56614.01713.72415.7417.4817.45515.54814.26213.93611.48610.57911.4170000000
Langetermijnbeleggingen 8.2357,7516.8296.7246.1618.5038.6479.3469.8496.8587.538-13.9360000000000
Belastingvorderingen 4.39213.14313.23515.8663.0723.3243.8222.4733.2123.7172.3251.9582.4132.8372.558000003.1613.533
Overige niet-vlottende activa 13.35-7,728.79414.9214.58514.45811.2598.716.6916.8387.8266.92126.64513.413.54912.73924.48718.60914.6717.88616.81212.45712.47
Totaal niet-vlottende activa 422.584444.058440.675464.797340.563318.914301.203271.79222.177166.314120.534105.01383.63871.09868.33565.3252.44543.71848.92851.21651.44955.559
Totaal activa 956.12956.047916.389945.459808.662788.395778.8763.314563.009471.8408.06357294.735239.624198.942229.385174.995125.469121.646127.975134.135146.455
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 28.79930.52813.86212.85215.75117.84918.25715.06620.44412.28910.17911.20810.4917.4755.8797.7977.2225.3624.3685.3135.3467.626
Kortlopende schulden 31.82182.53328.92765.5433.49818.3395.2022.36739.6420.0920.22100.4660.2710.1050.7081.6248.33129.585000
Belastingschulden 23.25818.52226.93818.21922.36517.98719.7922.60217.44515.50114.0218.9363.839000000000
Uitgestelde opbrengsten 121.372.74106.316110.662128.71526.648118.484140.771133.44143.404129.267047.7640.83233.03154.24243.00325.8918.08000
Overige kortlopende verplichtingen 6.746120.3035.7518.3734.761104.07515.0599.3911.6925.7035.48123.60351.99341.89334.11142.73527.58212.027-0.9851.75159.23968.209
Totaal kortlopende verplichtingen 188.735336.104154.856197.43152.725166.911157.002167.594205.218161.488145.147134.811110.7190.47173.126105.48279.43151.6151.05357.06464.58575.835
Langlopende verplichtingen:
Langetermijnschulden 282.818152.796319.063311.345212.419199.81215.737199.70100000004.7236.1997.619.44536.22817.54817.127
Uitgestelde opbrengsten niet-vlottend 10.12012.21713.01912.4459.749.90816.92700000006.015.0980.661.3281.521.5172.071
Uitgestelde belastingverplichtingen niet-vlottend 19.40625.22120.30618.58612.63412.61119.57820.9124.16817.21414.13812.0710.6686.6915.2117.2135.9745.7373.14710.0145.6624.645
Overige niet-vlottende verplichtingen 0.41410.081.1191.6481.7470.4470.2150.24613.31712.7748.9217.9847.1116.5136.4910.5910.7321.681-3.147-28.4-5.662-4.645
Totaal niet-vlottende verplichtingen 312.758188.097352.705344.598239.245222.608245.438237.78437.48529.98823.05920.05417.77913.20411.70218.53718.00315.67820.77319.36219.06519.198
Totaal passiva 501.493524.201507.561542.028391.97389.519402.44405.378242.703191.476168.206154.865128.489103.67584.828124.01997.43467.28871.82676.42683.6595.033
Eigen vermogen:
Preferente aandelen 0.8241.4825.9075.9095.06500000000000000000
Gewone aandelen 10.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.14310.08110.06910.06410.056
Ingehouden winsten 415.146393.286374.878369.483381.9359.02336.843318.419280.882241.778202.726165.366129.47699.179114.11114.9269.5083.85403.884.4183.696
Overige gereserveerde algehele resultaten -0.824-1.482-5.907-5.909-5.065-180.507-159.156-138.305-118.958-103.686-89.188-77.414-67.328-65.40600000000
Overige totale aandeelhoudersvermogen 29.33828.41723.80723.80524.649210.22188.53167.679147.553131.42116.172104.03993.95392.031-10.14680.29357.90644.1839.73337.34235.70336.544
Totaal eigen vermogen van aandeelhouders 454.627431.846408.828403.431416.692398.876376.36357.936319.62279.655239.853202.134166.244135.947114.108105.36277.55758.17749.81451.29150.18550.296
Totaal eigen vermogen 454.627431.846408.828403.431416.692398.876376.36357.936320.306280.324239.854202.135166.246135.949114.111105.36477.55958.17949.81751.4250.33550.859
Totaal passiva en aandeelhoudersvermogen 956.12956.047916.389945.459808.662788.395778.8763.314563.009471.8408.06357294.735239.624198.942229.385174.995125.469121.646127.975134.135146.455