Compagnie des Alpes SA

EPA:CDA.PA

13.78 (EUR) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 111.467303.863349.95316.4722.3231.62446.84834.81339.12547.5734.57632.54950.06993.35831.79117.43243.12751.33430.88226.491
Kortetermijnbeleggingen 1.7210.2270.0820.1740.2860.1220.9230.0581.110.4190.140.761.380.8060.3515.8945.8944.0500
Liquide middelen en kortetermijnbeleggingen 113.188304.09350.03516.64422.60631.74647.77134.87140.23547.98934.71633.30951.44994.16432.14223.32649.02155.38430.88226.491
Nettovorderingen 96.5486.32187.45797.54190.62526.36917.77915.07318.75219.41220.347000000000
Voorraad 27.99323.35121.51523.16624.29622.80822.21521.75320.723.22623.07125.46720.85617.71416.73215.74112.18913.7478.9798.955
Overige vlottende activa 19.95613.42113.2583.0611.86365.01761.55345.94444.95443.00456.39758.64563.21453.68660.53376.03970.61959.82550.35259.842
Totaal vlottende activa 257.677427.183472.265140.412139.39145.94149.318117.641124.641133.631114.184117.421135.519165.564109.407115.106131.829128.95690.21395.288
Niet-vlottende activa:
Materiële vaste activa, netto 1,732.7961,398.0481,295.341,298.5511,153.7451,030.743957.822922.64874.98889.99870.546838.86309.47287.341294.057354.867367.957325.691507.376466.189
Goodwill 270.351227.003224.293271.573333.134295.894284.734284.899285.33294294.53800294.837298.224299.316203.808212.05990.17109.258
Immateriële activa 396.033314.11304.778347.457398.21364.92668.25773.0275.12976.32881.0190083.21281.65685.80477.96280.22257.27629.525
Goodwill en immateriële activa 666.384541.113529.071619.03731.347360.82352.991357.919360.459370.328375.557390.509398.344378.049379.88385.12281.77292.281147.446138.783
Langetermijnbeleggingen 133.502126.439137.29122.022140.17683.96483.70780.48776.92173.93369.83275.36575.60967.18765.38273.5946.64853.00400
Belastingvorderingen 14.26115.72526.60620.8979.8027.61210.079.0966.614016.16920.62416.4255.084.9258.87410.21915.09700
Overige niet-vlottende activa -265.929-217.634-214.844-211.142-331.08-7.612-10.07-9.096-6.61413.99712.790.76496.785521.767496.091453.552373.25348.10950.62243.332
Totaal niet-vlottende activa 2,281.0141,863.6911,773.4631,849.3581,703.991,475.5271,394.521,361.0461,312.361,348.2481,344.8941,326.1181,296.6331,259.4241,240.3351,276.0031,079.8441,034.182705.444648.304
Totaal activa 2,538.6912,290.8742,245.7281,989.771,843.381,661.3521,579.7581,505.7791,451.4171,481.8791,459.0781,443.5391,432.1521,424.9881,349.7421,391.1091,211.6731,163.138795.657743.592
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 111.659108.81180.991108.44777.5993.64776.81866.52757.23944.883118.295183.9470044.563039.19429.823088.142
Kortlopende schulden 283.046151.54483.438116.764203.646127.814216.28355.668.64647.968204.6876.998093.9970000081.268
Belastingschulden 4.75510.470.8450.6074.7593.5932.1863.1270.80801.4759.1463.8212.3863.8237.1444.2763.53800
Uitgestelde opbrengsten 4.75510.470.8450.6074.759-127.814-216.283-55.6-68.64603.614000000000
Overige kortlopende verplichtingen 286.747246.866195.884175.311181.429306.987394.57221.193215.414157.75114.01626.071290.131139.134209.098291.202233.414202.087021.168
Totaal kortlopende verplichtingen 686.207517.691361.158401.129467.424400.634471.388287.72272.653250.602340.605287.016290.131233.131253.661291.202272.608231.910190.578
Langlopende verplichtingen:
Langetermijnschulden 391.017489.678766.887528.955355.226302.308197.432335.961332.08407.545306.682320.7750372.1360000303.243188.763
Uitgestelde opbrengsten niet-vlottend 311.17192.524152.118165.7951.157280.508176.189316.119312.151037.122-82.28030.705000000
Uitgestelde belastingverplichtingen niet-vlottend 36.69517.6629.22322.0722.38721.821.24319.84219.929026.89822.4525.5326.92427.68328.7219.52915.20200
Overige niet-vlottende verplichtingen 50.43755.53372.03781.89169.199-302.308-197.432-335.961-332.0863.721.475117.413343.06621.136476.492506.892442.262457.004146.95940.204
Totaal niet-vlottende verplichtingen 789.319755.3971,000.265798.711447.969302.308197.432335.961332.08471.265372.177378.358368.596450.901504.175535.613451.791472.206450.202228.967
Totaal passiva 1,475.5261,273.0881,361.4231,199.84915.393782.196747.385700.076668.86721.867712.782665.374658.727684.032757.836826.815724.399704.116450.202419.545
Eigen vermogen:
Preferente aandelen 0096.48800000000000000000
Gewone aandelen 25.26725.22225.182186.829186.425186.091185.703185.363185.031185.031184.702184.38184.114183.836134.658130.162117.481116.45296.28595.19
Ingehouden winsten 90.371114.4-121.67-104.34562.24457.19831.3233.43630.03325.3931.893267.35100000027.03829.001
Overige gereserveerde algehele resultaten 362.524276.662151.91296.029423.438379.564334.151278.868261.911246.402-1,099.759-1,049.249-445.6110000000
Overige totale aandeelhoudersvermogen 536.697554.504694.086361.94195.352200.397226.275257.595257.596257.7981,606.8481,307.046964.863510.647421.146396.993332.069316.252195.801175.68
Totaal eigen vermogen van aandeelhouders 1,014.859970.788845.996740.453867.459823.25777.449755.262734.571714.624693.684709.528703.366694.483555.804527.155449.55432.704319.124299.871
Totaal eigen vermogen 1,063.1651,017.786884.305789.93927.987879.156832.373805.703782.557760.012746.296778.165773.425740.956591.906564.294487.274459.022345.455324.047
Totaal passiva en aandeelhoudersvermogen 2,538.6912,290.8742,245.7281,989.771,843.381,661.3521,579.7581,505.7791,451.4171,481.8791,459.0781,443.5391,432.1521,424.9881,349.7421,391.1091,211.6731,163.138795.657743.592