Bankinter, S.A.

MSE:BKT.MC

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 16,106.26313,351.21724,024.89816,069.2437,403.2995,538.6755,633.0553,590.4082,787.1312,016.0562,989.4081,770.8622,192.191,797.8714,291.4382.134946.486539.178435.916170.761
Kortetermijnbeleggingen -28,959.960000000000000000000
Liquide middelen en kortetermijnbeleggingen -12,853.69713,351.21724,024.89816,069.2437,403.2995,538.6755,633.0553,590.4082,787.1312,016.0562,989.4081,770.8622,192.191,797.8714,291.4382.134946.486539.178435.916170.761
Nettovorderingen 146.836125.642119.07596.625185.032163.024162.745147.107135.341126.034110.32891.76468.6540000000
Voorraad 12,706.861-16,400.835-24,818.412-18,101.466-8,926.493-11,281.159-8,951.92-5,524.374-4,055.00900000000000
Overige vlottende activa 16,928.31516,400.83524,818.41218,101.4668,926.49311,281.1598,951.925,524.3744,055.00900000000000
Totaal vlottende activa 16,928.31513,476.85924,143.97316,165.8687,588.3315,701.6995,795.83,737.5152,922.4722,142.093,099.7361,862.6262,260.8441,797.8714,291.4382.134946.486539.178435.916170.761
Niet-vlottende activa:
Materiële vaste activa, netto 426.763447.853450.436455.067416.266405.924420.996428.671417.28412.838421.888433.336466.901456.569452.645391.826366.404342.297320.742314.93
Goodwill 2.2762.2762.2762.276164.113164.113164.113164.113164.113164.113164.281161.836161.836161.836161.83700000
Immateriële activa 299.74276.664267.411255.799227.825129.96491.76580.95102.58118.214136.422155.702176.204196.373215.20713.8519.6673.2990.3560.322
Goodwill en immateriële activa 302.016278.94269.687258.075391.938294.077255.878245.063266.693282.327300.703317.538338.04358.209377.04413.8519.6673.2990.3560.322
Langetermijnbeleggingen 711.11117,038.86611,790.98811,384.81312,263.62110,352.4238,654.8178,368.8938,832.4729,348.8388,407.7411,315.6410,532.3388,456.1678,802.3558,295.5296,065.1087,649.539,186.2728,212.325
Belastingvorderingen 260.765264.829273.808270.032291.902291.862188.178165.246146.84700000000000
Overige niet-vlottende activa 94,382.672-264.829-273.808-270.032-291.902-291.862-188.178-165.246-146.847-10,044.003-9,130.331-12,066.514-11,337.279-9,270.945-9,632.044-8,701.206-6,441.179-7,995.126-9,507.37-8,527.577
Totaal niet-vlottende activa 96,083.32717,765.65912,511.11112,097.95513,071.82511,052.4249,331.6919,042.6279,516.44510,044.0039,130.33112,066.51411,337.2799,270.9459,632.0448,701.2066,441.1797,995.1269,507.378,527.577
Totaal activa 113,011.642107,507.032107,584.10896,252.09383,732.34576,501.53971,332.65167,182.46758,659.8157,332.97455,135.66258,165.8959,491.42654,151.97754,467.46453,469.62749,648.6846,099.7011,447.83131,270.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 711.324671.872317.576327.436291.125388.965429.14404.23545.00300000000000
Kortlopende schulden 8,586.2451,952.948003.25829.00221.132454.8471,474.86900000000000
Belastingschulden 399.716640.411139.05490.49206.012220.581184.155169.71172.949135.05468.11973.63670.57241.78965.07534.34356.55666.66826.6020
Uitgestelde opbrengsten -711.324-1,281.07600287.867359.963408.008-50.612000000000000
Overige kortlopende verplichtingen 57,642.347-671.872-317.576-327.436-291.125-388.965-429.14-404.23524,765.8600000000000
Totaal kortlopende verplichtingen 66,228.592671.872317.576327.436291.125388.965429.14404.23526,285.73200000000000
Langlopende verplichtingen:
Langetermijnschulden 11,451.1746,433.0937,736.4167,571.9867,639.5177,755.1498,256.7878,949.84911,079.4459,919.23210,128.8113,267.04616,498.41218,014.05319,089.81114,700.74116,805.04514,868.08312,368.4837,240.033
Uitgestelde opbrengsten niet-vlottend 23,220.427-59.27,620.9277,442.3747,424.2757,550.2158,088.933173.4106.95700000000000
Uitgestelde belastingverplichtingen niet-vlottend 63.29659.2115.489129.612215.242204.934167.854176.681141.99100000000000
Overige niet-vlottende verplichtingen 6,725.213-5,761.221-7,736.416-7,571.986-7,639.517-7,755.149-8,256.787-350.08143,533.24-9,919.232-10,128.81-13,267.046-16,498.412-18,014.053-19,089.811-14,700.741-16,805.045-14,868.083-12,368.483-7,240.033
Totaal niet-vlottende verplichtingen 41,460.11671.8727,736.4167,571.9867,639.5177,755.1498,256.7878,949.84954,861.63353,689.52651,732.11754,934.79356,404.4351,572.28251,884.58351,504.62347,903.26344,491.16712,368.48330,015.077
Totaal passiva 107,688.702102,602.059102,731.94891,287.93678,932.3872,015.68766,975.51163,085.09254,861.63353,689.52651,732.11754,934.79356,404.4351,572.28251,884.58351,504.62347,903.26344,491.16712,368.48330,015.077
Eigen vermogen:
Preferente aandelen 0117.123000000000000000000
Gewone aandelen 269.66269.66269.66269.66269.66269.66269.66269.66269.66269.66268.675169.142143.076142.034142.034121.768119.063117.878116.875115.276
Ingehouden winsten 5,157.2024,966.9564,639.9623,368.263,313.5473,050.2652,941.0262,648.2132,371.6032,136.1131,954.8771,909.5131,881.8621,786.991,759.2591,466.4011,384.141,151.897187.702173.378
Overige gereserveerde algehele resultaten -102.557-117.123121.701160.391204.904167.242126.179134.825106.37400000000000
Overige totale aandeelhoudersvermogen -1.365-331.643-179.1631,165.8461,011.854998.6851,020.2751,044.6771,050.541,237.6751,179.9931,152.4421,062.058650.671681.588376.835242.214314.8271,081.016966.469
Totaal eigen vermogen van aandeelhouders 5,322.944,904.9734,852.164,964.1574,799.9654,485.8524,357.144,097.3753,798.1773,643.4483,403.5453,231.0973,086.9962,579.6952,582.8811,965.0041,745.4171,584.6021,385.5931,255.123
Totaal eigen vermogen 5,322.944,904.9734,852.164,964.1574,799.9654,485.8524,357.144,097.3753,798.1773,643.4483,403.5453,231.0973,086.9962,579.6952,582.8811,965.0041,745.4171,608.5341,447.8311,255.123
Totaal passiva en aandeelhoudersvermogen 113,011.642107,507.032107,584.10896,252.09383,732.34576,501.53971,332.65167,182.46758,659.8157,332.97455,135.66258,165.8959,491.42654,151.97754,467.46453,469.62749,648.6846,099.7011,447.83131,270.2