Bang & Olufsen a/s

CSE:BO.CO

9.73 (DKK) • At close November 17, 2023
Overzicht | Financiële gegevens

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

2023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q32019 Q22019 Q12018 Q42018 Q32018 Q22018 Q12017 Q42017 Q32017 Q22017 Q12016 Q42016 Q32016 Q22016 Q12015 Q42015 Q32015 Q22015 Q12014 Q42014 Q32014 Q22014 Q12013 Q42013 Q32013 Q22013 Q12012 Q42012 Q32012 Q22012 Q12011 Q42011 Q32011 Q22011 Q12010 Q42010 Q32010 Q22010 Q12009 Q4
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 177149154141216212189125162225214201178284158497215327298275492609800.11,028.31,154.7992.3960.1918.41,079.2971.2876.3750.7788.5810.2877.1816.31,198138.6172.6107.7120.4169.1176128.4145.9108.8101.8129.2159.1125.7155.3102.7189.1248.8161.8147.4253.6
Kortetermijnbeleggingen 3883903913923943964014074154264304374354454490000000000000000000000000000000000000-42.70000
Liquide middelen en kortetermijnbeleggingen 565539545533610608590532577651644638613729607497215327298275492609800.11,028.31,154.7992.3960.1918.41,079.2971.2876.3750.7788.5810.2877.1816.31,198138.6172.6107.7120.4169.1176128.4145.9108.8101.8129.2159.1125.7155.3102.7189.1248.8161.8147.4253.6
Nettovorderingen 394321423327341424563515397462486405562391417331290408430375566562764.2647.9510624.3718.7387410.3521.9695.8563.6624.4548.5525.5433.1456.6559.6729.6632.6695.9449.3549.5381.4443.9434.2628.60000000000
Voorraad 447469460478499499568624601547537453369390415413457488557585596505424.9397.7352.2373.9450.7413.7347.3555.1560.2526498561621.8528.5533.1749.2706.8710.3666.1620634634.7572.1704.7848.2856.5665611.5612.3597.1563595.8637.3606.6563.6
Overige vlottende activa 27792689103243836154149158178615580587494448539553545691676903.4-0.26580.2-0.1508.65200.1-0.1-0.1-0.1-0.1821.9637.4659.1711.90.10.10.2591.8668.6499.5554.4552.7744.9492.1623.9475.5553.5450.4419.5450.8574.9413.5490.6
Totaal vlottende activa 1,4331,4081,4541,4271,5531,5551,7591,7071,7571,8091,8251,6741,5971,6991,6091,4041,1201,3541,4081,4051,7791,7902,128.42,073.72,164.91,990.72,129.41,840.71,946.52,048.32,132.21,840.21,910.81,919.62,320.81,982.22,390.21,599.71,609.11,450.71,482.61,380.91,478.61,262.61,272.41,366.21,694.91,477.81,4481,212.71,321.11,150.21,171.61,295.41,3741,167.51,307.8
Niet-vlottende activa:
Materiële vaste activa, netto 356320330324335304315311323311298282300312310324334336325323167179177.1187.2184.2189.5185.4179.5178.6203.7205.6197.7209.7238256.9245.7254.3337.1336.3335.3334.3337.9415.3468.8475.9479.9478.9498.7499.5497.1493.5512.4438.7535.2542.6550.1560.5
Goodwill 4242424242424242424141414141414444444444444343.543.643.542.843.443.34767.467.466.566.470.270.869.770.267.764.763.963.562.656.556.751.950.147.8047.849.144.744.844.844.844.844.844.7
Immateriële activa 354327331330333313317307292249228220227208193177180164166168184190198.7203.7224.3243.3281.1333.8339337.9365.3379.2388.8391.1395.3387.7400.4708.9725.4730.9738.3707.8705.2682.1683.5666.6664.80663.5621.2600.6571.5551.4557.9525.1507.5501.8
Goodwill en immateriële activa 396369373372375355359349334290269261268249234221224208210212228233242.2247.3267.8286.1324.5377.1386405.3432.6445.6455.2461.3466457.3470.6776.7790.2794.7801.8770.4761.7738.8735.4716.7712.6707.1711.3670.3645.3616.3596.2602.7569.9552.3546.5
Langetermijnbeleggingen 2022227187332222246846255915682400000000225223.1054.8067.960.457.1047.3047.25.95.95.95.9141210.410.277775.65.60000088.50000
Belastingvorderingen 921011009999898985771068790877972695890353288261246240.4247249.3259.7295.2297.4279.2231227.7219.5209204.4201.7203.3187.5237.8221.2211.3180.4201.5193.1188.3183.1176.3216.5156.7139.9125.7142.5146.1144.1146.9146.4151140.4
Overige niet-vlottende activa 000-696-710000-657-601-567-54302628264042455127-179-177.154.2-0.267.10.1-0.10.148.40.145.8-0.1140.7137.4140.8140.579.279.48182.881.685.595.983.379.98194.393.5939688.469.186.388.489.592.1
Totaal niet-vlottende activa 864812825817832770785769761731678658679666644640656676933874683704705.7735.7755.9802.4873.1914.3901888.4913.3908.69211,050.31,067.91,0531,058.81,444.81,439.11,432.71,409.51,398.41,462.61,498.81,484.71,458.41,494.61,456.81,444.21,386.11,377.31,363.21,336.61,371.11,347.31,342.91,339.5
Totaal activa 2,2972,2202,2792,2442,3852,3252,5442,4762,5182,5402,5032,3322,2762,3652,2532,0441,7762,0302,3412,2792,4622,4942,833.92,809.42,920.82,7933,002.52,7552,847.42,936.73,045.52,748.82,831.82,969.93,388.73,035.33,4493,044.53,048.22,883.42,892.12,779.32,941.22,761.42,757.12,824.63,189.52,934.62,892.22,598.82,698.42,513.42,508.22,666.52,721.32,510.42,647.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 401424451403565506648632581702722633502436481327430492536473710543622.7441.9516.7415568.4428.7463.2464.3571365.1365.4392.2720.2444.9443.1429.1435343.3434346.5386.2309.9295.3248.8323.1332.2384.8253.8302.7202.4199.8275.4324.8184259.4
Kortlopende schulden 4294214304224264354413683191721406048194654546434438369.19.19.29.19.19.19.18.58.58.58.58.58.48.4218.4323.6383.7274.1296.7269.8367.9267.1213.1232314.2313.3194.4103.4148.8109.247.750.247.652.759.3
Belastingschulden 20211282527211736252631353124212586721.51.53.318.124.510.68.227.645.124.49.311.463.633.333.724.820.618.518.130.622.523.425.529.867.121.627.814.723.522.721.718.320.119.220
Uitgestelde opbrengsten 3515066748981758010491778490898599108979094108103.1118.399.483.5104.199.2112.682.7100.68273.9113.7182.7153.1143.1114.683.672.780.889.179.8105.888108.417192.7101.914.723.522.721.718.320.119.220
Overige kortlopende verplichtingen 2721361601681371401521702052041811742552242091536582956179156229.7288.7290.1323.7387.6321.6327.7316.9301.5258.3270.5230.5237189.2309.1215208.6182.8215.8240.9229.2202.2226.9244.8275.4277.2259.9341.4362.7349.9381.7423.2459.9414.1434.7
Totaal kortlopende verplichtingen 1,1051,0321,0911,0591,2021,1701,3221,2451,1851,1821,134944889944844610640725772662886813964.6858915.4831.31,069.2858.6912.6872.4981.6713.9718.3744.91,148.3795.61,113.71,082.31,110.9872.91,027.3946.31,063.1885823.38341,083.71,015.4941713.3837.7684.2650.9767.1852.4670773.4
Langlopende verplichtingen:
Langetermijnschulden 531431481551651391461421531671641711781871901912022102132246986154.8157.1160.9163.2165.5167.9170.2173.1175.2177.3181183.3185.4187.5191.1191.6193.7195.8197.8199.7202.6204.3206.1207.8209.5211.2212.9216.2216.2217.9219.5261.3267.3275.7278.6
Uitgestelde opbrengsten niet-vlottend 11748485051484950141414141515151515464652151316.938.676.495.8105.7123.7123.7129.7129.7133.7136.7139.7145.7145.7148.755.153.954.353.168.372.174.170.389.482.1103.6969896.891.590.595.893.592.586
Uitgestelde belastingverplichtingen niet-vlottend 866666666777711109105152111177.89.910.510.410.19.610.710.410.81111.511.7109.810.67.77.26.87.712.915.512.213.88.641.622.815.47.26.64.28.16.46.44.96.2
Overige niet-vlottende verplichtingen 582353792160515753548383827731165626766.547.448.169.666.67544.161.1625859.460.563.162.563.51.41.61.61.92.433.230.910.70.90.80.80.90.90.60.40.46.9
Totaal niet-vlottende verplichtingen 236199205216225200210219233239242245254296298297304338327292157173246253295.9339347.9376.2348.7374.3377.7380388.6395.2404.2405.5413.9255.8256.4258.5260.5283.3293.2293.8293.2306.7334.2338.3325.2322.2320.4314.5319364.1367.6373.5377.7
Totaal passiva 1,3411,2311,2961,2751,4271,3701,5321,4641,4181,4211,3761,1891,1431,2401,1429079441,0631,0999541,0439861,210.61,1111,211.31,170.31,417.11,234.81,261.31,246.71,359.31,093.91,106.91,140.11,552.51,201.11,527.61,338.11,367.31,131.41,287.81,229.61,356.31,178.81,116.51,140.71,417.91,353.71,266.21,035.51,158.1998.7969.91,131.21,2201,043.51,151.1
Eigen vermogen:
Preferente aandelen 0000000000000000000000000006.600000000000000000000000000000
Gewone aandelen 613613613613613613613613613613613613613613613613432432432432432432432432432432432432432432432432432432432432432432432432392.7392.7392.7392.7392.7392.7392.7362.4362.4362.4362.4362.4362.4362.4362.4362.4362.4
Ingehouden winsten 3293573543403293203733674604854985205145054895143855187938579611,0531,141.81,213.61,232.41,180.41,153.11,094.81,148.21,2271,222.71,202.51,269.31,372.91,384.91,382.91,468.31,250.31,230.81,304.31,199.21,149.41,180.31,170.81,221.81,2641,352.61,185.71,230.21,178.91,1681,135.81,161.1926.1900.1871.3892.1
Overige gereserveerde algehele resultaten 1419161616222632272116106791015171736262349.552.84510.30.3-6.65.93131.520.423.624.919.319.321.124.11815.712.57.611.919.125000000000000
Overige totale aandeelhoudersvermogen 0000000000000000000000000.100-6.600000000000.10-0.10001.127.226.332.833.4229.916.514.2246.4238.8231.7240.2
Totaal eigen vermogen van aandeelhouders 9569899839699589551,0121,0121,1001,1191,1271,1431,1331,1251,1111,1378329671,2421,3251,4191,5081,623.31,698.41,709.51,622.71,585.41,520.21,586.11,6901,686.21,654.91,724.91,829.81,836.21,834.21,921.41,706.41,680.91,7521,604.31,549.71,584.91,582.61,640.61,683.91,771.61,580.91,6261,563.31,540.31,514.71,537.71,534.91,501.31,465.41,494.7
Totaal eigen vermogen 9569899839699589551,0121,0121,1001,1191,1271,1431,1331,1251,1111,1378329671,2421,3251,4191,5081,623.31,698.41,709.51,622.71,585.41,520.21,586.11,6901,686.21,654.91,724.91,829.81,836.21,834.21,921.41,706.41,680.91,7521,604.31,549.71,584.91,582.61,640.61,683.91,771.61,580.91,6261,563.31,540.31,514.71,538.31,535.31,501.31,466.91,496.2
Totaal passiva en aandeelhoudersvermogen 2,2972,2202,2792,2442,3852,3252,5442,4762,5182,5402,5032,3322,2762,3652,2532,0441,7762,0302,3412,2792,4622,4942,833.92,809.42,920.82,7933,002.52,7552,847.42,936.73,045.52,748.82,831.82,969.93,388.73,035.33,4493,044.53,048.22,883.42,892.12,779.32,941.22,761.42,757.12,824.63,189.52,934.62,892.22,598.82,698.42,513.42,508.22,666.52,721.32,510.42,647.3