Distribuidora Internacional de Alimentación, S.A.

MSE:DIA.MC

0.0177 (EUR) • At close January 15, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 131.061215.819361.065346.985163.55239.843340.193364.6154.627199.004262.037350.425289.94338.73939.70553.566
Kortetermijnbeleggingen 10.3841.431.9391.1172.9894.9392.0925.14815.71812.14410.71430.643090.993150.6621.079
Liquide middelen en kortetermijnbeleggingen 141.445217.249363.004348.102166.539244.782342.285369.748170.345211.148272.751381.068289.943129.732190.36754.645
Nettovorderingen 154.166185.824-0114.38770.728103.319112.3810110.244250.954215.359295.861276.85-504.898-0.002215.098
Voorraad 315.005417.641452.003445.763496.517531.664569.644669.592562.489553.119544.867527.066521.926204.408226.014244.689
Overige vlottende activa 536.931391.811237.59282.527137.487170.655211.027369.727264.848114.78697.86329.17414.31511.09754.03363.707
Totaal vlottende activa 1,150.0771,217.7741,052.599990.779871.2711,199.3731,263.3191,409.0671,087.5271,130.0071,130.841,202.5261,103.273383.959470.412578.139
Niet-vlottende activa:
Materiële vaste activa, netto 1,026.5821,417.1921,403.7161,406.6811,755.6171,268.61,363.9631,469.0781,372.011,270.3561,601.6511,618.6311,625.96537.202582.185568.836
Goodwill 285.179326.297451.102482.872489.051492.765553.129557.818558.063464.642454.388422.966416.543000
Immateriële activa 30.57437.49124.43427.52940.59347.29742.70937.50534.76332.56745.61338.37744.3760047.657
Goodwill en immateriële activa 315.753363.788475.536510.401529.644540.062595.838595.323592.826497.209500.001461.343460.91944.5147.31347.657
Langetermijnbeleggingen 0.81959.4460.2656.19361.3877.59615.37353.122102.6169.01869.159-25.58801,151.2211,073.9181,201.134
Belastingvorderingen -0.445-59.4429.74232.39456.81473.346253.983314.273271.48147.8957.66754.5558.19136.2345.97941.041
Overige niet-vlottende activa 134.104142.58848.96938.95144.707112.836133.69875.46616.17612.50711.26993.18161.24166.284217.94311.07
Totaal niet-vlottende activa 1,477.2581,923.5682,018.2232,044.622,448.1622,072.442,362.8552,507.2622,355.1021,996.982,239.7472,202.1172,206.311,935.4471,967.3381,869.738
Totaal activa 2,627.3353,120.943,070.8223,035.3993,319.4333,271.8133,626.1743,916.3293,442.6293,126.9873,370.5873,404.6433,309.5832,319.4062,437.752,447.877
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,090.8341,313.391,243.4581,015.4921,040.8931,287.6751,642.4491,920.5971,376.9371,692.9341,786.7441,758.4361,780.23311.695693.94705.546
Kortlopende schulden 219.19294.302272.454589.032325.536775.592330.013134.19374.279133.852212.328430.218266.146540.8346.6293.957
Belastingschulden 10.37770.26354.97155.98473.8375.00296.605100.99997.0591.187160.539125.668124.164000
Uitgestelde opbrengsten 00.459259.973216.162204.985278.479348.468279.559283.668226.091340.946290.9980000
Overige kortlopende verplichtingen 496.074290.917252.321339.505287.408329.357403.399213.437287.585202.524187.875173.407180.179497.714145.43220.437
Totaal kortlopende verplichtingen 1,816.4751,891.1411,823.2042,000.0131,727.6672,470.6062,290.9932,369.2232,135.8512,120.4972,347.4862,487.7292,350.7221,050.243845.999929.94
Langlopende verplichtingen:
Langetermijnschulden 742.9781,009.5441,008.8951,614.161,865.716920.354961.9451,062.273920.951533.107699.893547.77599.65627.9940.4751.95
Uitgestelde opbrengsten niet-vlottend 7.7990000-77.955972.208975.417907.5941,349.1821,235.5661,520.167-414.909618.888622.8771.023
Uitgestelde belastingverplichtingen niet-vlottend 43.13650.74236.45320.15711.4477.9552.20644.1093.1932.74957.978115.50985.61471.65174.12857.271
Overige niet-vlottende verplichtingen 100.672212.698145.153118.42176.55249.89548.75448.62672.60293.06481.594105.972168.975157.966118.724141.332
Totaal niet-vlottende verplichtingen 886.7861,222.2421,154.0481,732.5811,942.268967.2691,009.1981,155.008993.553628.92839.465769.251854.245196.337193.327200.553
Totaal passiva 2,695.4623,113.3832,977.2523,732.5943,669.9353,437.8753,300.1913,524.2313,129.4042,749.4173,186.9513,256.983,204.9671,246.581,039.3261,130.493
Eigen vermogen:
Preferente aandelen 01,628.8211,542.1161,303.209955.027172.4470000000000
Gewone aandelen 580.655580.655580.65566.7866.7862.24662.24662.24662.24665.10765.10767.93467.9343.8993.8993.899
Ingehouden winsten -30.242-123.848-257.331-363.788-790.468-352.587109.579174.043299.221329.229209.259157.88498.462202.803154.204174.503
Overige gereserveerde algehele resultaten -1,674.263-1,628.821-1,542.116-1,303.209-955.027-172.447255.405207.2700000000
Overige totale aandeelhoudersvermogen 1,055.7231,055.7231,055.031903.0221,328.213-48.168-60.359-66.571-48.224582.12607.647-73.719-67.6241,491.0761,240.3211,598.385
Totaal eigen vermogen van aandeelhouders -68.1277.55793.57-697.195-350.502-166.062326.083392.158313.243377.616183.636152.09998.7721,072.8261,398.4241,317.384
Totaal eigen vermogen -68.1277.55793.57-697.195-350.502-166.062325.983392.098313.225377.57183.636147.663104.6161,072.8261,398.4241,317.384
Totaal passiva en aandeelhoudersvermogen 2,627.3353,120.943,070.8223,035.3993,319.4333,271.8133,626.1743,916.3293,442.6293,126.9873,370.5873,404.6433,309.5832,319.4062,437.752,447.877