Biesse S.p.A.

MIL:BSS.MI

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 104.473125.039127.099163.42586.06183.0278.90246.29551.55353.3135.15116.15622.60425.81231.14822.17336.53936.10231.2120.56720.50433.18914.046
Kortetermijnbeleggingen 17.82820.54427.09826.9992.6530.4940.5190.0870.0171.0480.9490.8490.6500000.82401.3623.8360.540.009
Liquide middelen en kortetermijnbeleggingen 122.301145.583154.197190.42486.06183.0279.42146.38251.5754.35836.117.00523.25425.81231.14822.17336.53936.92631.2121.92924.3433.72914.055
Nettovorderingen 129.765128.425144.735117.648139.863156.009143.807146.438115.73380.71476.2310112.86390.96574.895100.37110.304000126.5480143.088
Voorraad 168.393215.588179.417129.848155.498162.786143.21130.785111.37498.05186.27390.32188.45981.32665.654103.678104.19288.18272.79874.47380.83390.608105.604
Overige vlottende activa 30.5755.1790.8931.1072.65328.5460.519-0.0010.92815.52513.693013.58614.31610.64813.7998.4140000.00100
Totaal vlottende activa 420.459494.775479.242439.027384.075408.09366.439323.604284.787248.647212.297220.609238.162212.419182.345240.02259.449251.7209.432205.606231.722269.053262.747
Niet-vlottende activa:
Materiële vaste activa, netto 117.213115.795117.202125.133139.713102.77590.51681.93969.86161.86561.08762.10355.30755.83557.43161.23657.64252.22659.57258.29577.14191.65784.666
Goodwill 46.69346.846.69423.47123.5523.54222.6619.31617.68317.06916.85217.25218.04617.92117.43817.16821.47318.53913.1086.9567.8958.7087.341
Immateriële activa 29.90141.37751.29649.88559.67860.69952.44745.90141.26135.51631.04930.36429.98126.3623.63522.93921.67316.64510.5657.2696.96323.64724.645
Goodwill en immateriële activa 76.59488.17797.9973.35683.22884.24175.10765.21758.94452.58547.90147.61648.02744.28141.07340.10743.14635.18423.67314.22514.85832.35531.986
Langetermijnbeleggingen 2.69-18.02-24.397-24.8872.642.8472.129-0.0370.03-1.015-0.921-0.8210.490000-0.78600.6271.2514.4197.215
Belastingvorderingen 25.16824.38723.76317.49913.33412.32313.12112.98712.67315.11116.99518.38318.38919.29518.2339.5468.8578.8748.441-0.627-1.251-4.419-7.215
Overige niet-vlottende activa 7.68122.70828.97428.164000.5192.3831.552.4931.8941.9748.9950.7380.6160.5692.8532.340.6593.3416.3186.5678.589
Totaal niet-vlottende activa 229.346233.047243.532219.265238.915202.186181.392162.489143.058131.039126.956129.255131.208120.149117.353111.458112.49897.83892.34575.86198.317130.579125.242
Totaal activa 649.805727.132722.774658.288622.987610.275547.83486.093427.846379.686339.25349.863369.37332.568299.698351.478371.947349.538301.777281.467330.039399.632387.989
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 135.281181.996186.66132.79132.673244.023223.915192.613153.345123.153111.103107.323113.124111.1340.11198.611119.463113.67983.67269.69961.14978.58883.292
Kortlopende schulden 8.1199.2811.53770.49953.52621.52829.28633.8828.69720.81244.88567.32545.86435.75245.27839.63525.25313.12224.54139.382118.69769.21177.157
Belastingschulden 2.04915.0225.9818.37919.10815.89614.00722.90520.93810.7737.2677.8041.1711.9330.9411.6343.1248.4627.0967.462010.3414.977
Uitgestelde opbrengsten 108.049138.2128.99372.18967.53675.652046.6244.32800000000000000
Overige kortlopende verplichtingen 100.153100.657103.26884.4679.588-2.93568.77726.4418.31848.27334.81739.98344.36839.15293.69433.80946.04953.50731.7728.7589.69238.1538.085
Totaal kortlopende verplichtingen 351.602430.133430.458359.938333.323338.268321.978299.553244.688192.238190.805214.631203.356186.038139.083172.055190.765180.308139.983137.839189.538185.949198.534
Langlopende verplichtingen:
Langetermijnschulden 0.26417.0571666.4853.04935.3919.7657.58222.73444.81915.155.86627.7438.82418.5749.19810.398.85931.29628.52530.45853.06122.968
Uitgestelde opbrengsten niet-vlottend 18.478165.793173.095133.817130.274227.823230.816215.935156.57895.611137.83166.335128.293134.97624.386126.061130.67001.2430.9051.9972.393
Uitgestelde belastingverplichtingen niet-vlottend 7.8058.4269.1022.9922.8762.3382.622.9762.733.5353.0082.4472.9523.0862.4292.9873.6568.047.88679.313148.48392.741135.088
Overige niet-vlottende verplichtingen 10.208-155.071-155.098-119.751-115.21-213.079-215.686-199.676-140.27-79.71-120.638-152.676-113.637-123.27-11.624-112.134-116.02718.10817.319-54.474-126.25-66.042-112.507
Totaal niet-vlottende verplichtingen 36.75536.20543.09983.53870.98952.47237.51526.81741.77264.25535.3521.97245.35123.61633.76526.11228.68935.00756.50154.60753.59681.75747.942
Totaal passiva 388.357466.338473.557443.476404.312390.74359.493326.37286.46256.493226.155236.603248.707209.654172.848198.167219.454215.315196.484192.446243.134267.705246.477
Eigen vermogen:
Preferente aandelen 0000000002.5645.067000000000000
Gewone aandelen 27.40327.40327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.39327.393
Ingehouden winsten 91.144233.14634.0182.53113.02743.41842.129.38420.97113.7666.435-6.53-2.438-5.392-26.69619.98741.71940.02229.4454.87-41.274-5.761-6.602
Overige gereserveerde algehele resultaten 106.69998.265113.801107.503114.66295.87869.43161.97958.232-2.564-5.067000000000000
Overige totale aandeelhoudersvermogen 36.202-98.26573.15676.59562.73551.95348.46140.67734.51581.83479.07792.18995.028100.693125.636104.82882.58766.48848.11256.525100.292108.616119.337
Totaal eigen vermogen van aandeelhouders 261.448260.549248.368214.022217.817218.642187.385159.433141.111122.993112.905113.052119.983122.694126.333152.208151.699133.903104.9588.78886.411130.248140.129
Totaal eigen vermogen 261.448260.794249.217214.812218.675219.535188.337159.723141.386123.193113.095113.26120.663122.914126.85153.311152.493134.223105.29389.02186.658131.088140.82
Totaal passiva en aandeelhoudersvermogen 649.805727.132722.774658.288622.987610.275547.83486.093427.846379.686339.25349.863369.37332.568299.698351.478371.947349.538301.777281.467330.039399.632387.989