AmRest Holdings SE

WSE:EAT.WA

24.55 (PLN) • At close December 14, 2023
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 139.6227.5229.6198.7204.8106.2118.4131.26566.2274.62260.11562.48950.90132.6761.60438.779.09313.0156.5938.2142.823
Kortetermijnbeleggingen 00000-28.8-29.80-17.974-15.971-14.9430.065-15.2550.651.194-0.174-0-02.608-00.01
Liquide middelen en kortetermijnbeleggingen 139.6227.5229.6198.7204.8106.2118.4131.26566.2274.62260.11562.55550.90133.3262.79838.779.09313.0159.2018.2142.833
Nettovorderingen 065.157.941.735.2039.715.77610.818.0048.4910.8889.62917.4180000000
Voorraad 33.134.937.533.126.529.925.722.41718.63815.10612.07111.36510.3339.2525.2495.1285.0513.2192.1251.5541.43
Overige vlottende activa 1164947.642.445.193.266.553.238.01227.11113.02615.31120.4896.17615.75514.34224.2512.9155.5636.3333.366
Totaal vlottende activa 288.7376.5372.6315.9311.6264.8250.3222.576133.694122.95993.753100.12991.06266.16684.15558.2435.62124.21916.88816.1017.629
Niet-vlottende activa:
Materiële vaste activa, netto 1,546.11,4061,314.81,231.91,184.61,437.6500.9404.667305.11248.846237.573242.172236.178216.344158.794131.22119.28173.16250.07344.5841.508
Goodwill 212.5253.3283.2316.6312.1350.2368.7217.712174.624136.884135.186144.802150.315169.10173.72569.48172.73143.1376.14200
Immateriële activa 238.2236.7236.4236.9240.7253.5240.8146.694137.176134.776123.439125.15128.329124.69914.6411.14710.6283.8753.3515.4751.659
Goodwill en immateriële activa 450.7490519.6553.5552.8603.7609.5364.406311.8271.66258.626269.952278.645293.888.36580.62783.3647.0129.4935.4751.659
Langetermijnbeleggingen 00026.826.710556.726.00518.17616.16515.0370.01215.362-0.618-1.1621.0729.1270.653-2.2890.1490.009
Belastingvorderingen 57.6044.545.737.622.422.114.19811.2797.836.6475.2484.0458.242.6543.5743.8983.412.43930.969
Overige niet-vlottende activa 25.379.228.71.11.11.51.82.2491.2471.391.23616.1320.63713.11411.2445.68413.87713.3157.2385.1380.908
Totaal niet-vlottende activa 2,079.71,975.21,907.61,8591,802.82,170.21,191811.525647.612545.891519.118533.516534.866530.88259.896222.177229.542137.55266.95458.34245.053
Totaal activa 2,368.42,351.72,280.22,174.92,114.42,4351,441.31,034.102781.306668.85612.871633.645625.929597.046344.051280.416261.096161.77183.84274.44352.682
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 308.8362.9340287.2235.4100.9100.37454.17953.50636.07439.48739.27139.12954.27948.87965.4130.96820.34814.28212.476
Kortlopende schulden 225.3223.6275.3281.8239.1208.86.638.25121.3020.25836.87544.82117.7493.383103.5449.95111.1050.2584.77829.268
Belastingschulden 6.511.831.93112.328.128.923.8617.6876.9484.8546.1257.5630.9580.480.0010.0951.0550.59200.001
Uitgestelde opbrengsten 000211.70028.923.8617.6876.9484.8546.1257.5630.9580.480.001000.5920-0
Overige kortlopende verplichtingen 17.26.2-20.8-20.7-8.7161.1124.196.6469.59751.0141.37538.03235.98133.990.0110-0.1750.006-0.641-0.012-0
Totaal kortlopende verplichtingen 557.8604.5626.4579.3478.1498.9265.3230.731192.462132.73982.561120.52127.63787.3858.153152.42475.28243.13420.55619.04841.746
Langlopende verplichtingen:
Langetermijnschulden 1,3621,287.31,257.11,205.71,293.11,375.4657.6435.5237.1245.054262.592224.216151.312191.16893.8628.23995.79535.62719.71221.7695.083
Uitgestelde opbrengsten niet-vlottend 00033.432.323.417.112.4589.8927.12611.4332.94650.48466.9372.0682.8161.7121.1221.6921.4260
Uitgestelde belastingverplichtingen niet-vlottend 34.904345.43951.446.227.35326.75221.24424.21528.98631.16536.7912.3743.1742.5620.6150.1990.3290
Overige niet-vlottende verplichtingen 25.359.222.54946.260.624.545.68812.478.91514.7115.4592.37875.8552.1693.3041.8450.3542.1421.991.534
Totaal niet-vlottende verplichtingen 1,422.21,346.51,322.61,288.11,371.61,459.4745.4481.188276.27276.923302.248261.607235.34299.11398.40334.717100.20237.71822.05223.2456.617
Totaal passiva 1,9801,9511,9491,867.41,849.71,958.31,010.7711.919468.733409.662384.809382.127362.977386.493156.556187.141175.48380.85242.60842.29348.363
Eigen vermogen:
Preferente aandelen 0083.3103.1108.680.253.955.820.71838.85535.3198.562000000000
Gewone aandelen 222222222222220.1710.1620.1680.1670.1720.1760.1620.1570.1040.1320.1510.1360.1350.092
Ingehouden winsten 187193.7148.8147.5114.6296.6231.5200.472148.729109.03471.1660.86259.68233.06424.43113.7915.83613.4410.0785.7792.884
Overige gereserveerde algehele resultaten 00-83.3-103.1-108.6-80.2-53.9-55.8-20.718-38.855-35.319-8.562000000000
Overige totale aandeelhoudersvermogen 163.6169.76626.112.668.4113.367.018148.338133.309141.751174.893154.581142.02159.25576.89675.57864.93230.97926.0991.326
Totaal eigen vermogen van aandeelhouders 372.6385.4320.1298.7257.8467.2420.7313.759297.229242.51213.078235.928214.439175.246183.84290.79181.54678.52341.19332.1394.302
Totaal eigen vermogen 388.4400.7331.2307.5264.7476.7430.6322.183312.573259.188228.062251.518262.952210.553187.49493.27585.61379.72141.21332.1454.311
Totaal passiva en aandeelhoudersvermogen 2,368.42,351.72,280.22,174.92,114.42,4351,441.31,034.102781.306668.85612.871633.645625.929597.046344.051280.416261.096161.77183.84274.44352.682