EnBW Energie Baden-Württemberg AG

FSX:EBK.DE

67.4 (EUR) • At close November 4, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,801.74,808.35,402.11,241.51,363.82,249.43,213.33,991.63,501.13,179.22,421.22,583.32,776.61,878.31,470.83,084.51,317.81,932.31,426.41,927.4966.5731
Kortetermijnbeleggingen 3,078.11,348.31,174.1759.5448.6774.7588.12,389.51,353.9780.1750.3785.61,011955.8771.7584.7727.6274257.8000
Liquide middelen en kortetermijnbeleggingen 8,879.86,156.66,576.22,0011,812.43,024.13,801.46,381.14,8553,959.33,171.53,368.93,787.62,834.12,242.53,669.22,045.42,206.31,684.21,927.4966.5731
Nettovorderingen 12,037.518,915.223,080.48,758.17,789.87,497.26,610.25,382.46,149.85,258.45,384.46,367.63,4513,614.72,807.53,486.52,367.22,470.21,889.5000
Voorraad 2,764.33,809.12,290.31,151.11,066.11,192958.1806.8877.51,135.41,353.91,285.9958.1991.1944.8862.9732.7612.3578.2569.1667.1776.8
Overige vlottende activa 1,525.33,638.84,093.8770.1996.41,149.7648.6546.6688.1576.4732606.72,285.91,635.54,578.73,804.21,725.61,178.51,395.92,778.32,765.73,108.3
Totaal vlottende activa 25,206.932,519.736,040.712,680.311,664.712,86312,018.313,116.912,570.410,929.510,641.811,629.110,482.69,075.410,573.511,822.86,870.96,467.35,547.85,274.84,399.34,616.1
Niet-vlottende activa:
Materiële vaste activa, netto 25,429.822,705.320,364.419,990.918,552.715,867.515,597.413,481.913,508.113,681.713,924.413,782.514,059.613,343.311,925.211,573.711,416.211,336.110,160.210,452.112,359.610,682.9
Goodwill 1,119.11,129.31,293.71,281.81,275.7924.1925.5769.4757.5751.1768797.40000000000
Immateriële activa 2,047.12,088.92,123.32,216.72,071.7824.6980.4867.1987.41,031.91,072.81,129.3001,806.41,687.80001,845.81,898.42,308.1
Goodwill en immateriële activa 3,166.23,218.23,4173,498.53,347.41,748.71,905.91,636.51,744.91,7831,840.81,926.72,034.62,1971,806.41,687.81,636.41,810.41,605.11,845.81,898.42,308.1
Langetermijnbeleggingen 4,696.36,000.86,406.16,096.16,756.96,082.26,588.85,874.17,712.69,674.37,716.47,6297,2378,747.32,9856,307.86,863.37,313.27,021.56,392.200
Belastingvorderingen 22679.44,812.71,344.71,2141,059.3956.41,268.993.4430257.846.438.828.229.228.7638.943.262.100
Overige niet-vlottende activa 5,993.74,980.3232.32,354.51,751.51,988.31,718.13,1572,528.81,813.61,759.31,756.21,968.11,848.67,3791,504.31,621.51,128.5741.392.36,562.56,499.8
Totaal niet-vlottende activa 39,51236,98435,232.533,284.731,622.526,74626,766.625,418.425,587.827,382.625,498.725,140.825,338.126,164.424,124.821,102.321,543.421,627.119,571.318,844.520,820.519,490.8
Totaal activa 64,718.969,503.771,273.245,96543,288.139,60938,784.938,535.338,158.238,312.136,140.536,769.935,820.735,239.834,698.332,925.128,414.328,094.425,119.124,119.325,219.824,106.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,049.98,443.36,475.84,053.14,055.15,039.84,838.13,1933,523.53,829.63,604.73,466.53,528.13,164.42,803.43,400.52,323.32,164.61,633.4000
Kortlopende schulden 1,620.61,100.62,126.21,627.6869.2514.71,306.81,208.7758.21,078.5224.71,201.11,362.1643.500519.21,153.3318.4000
Belastingschulden 527.5711.9579.5334.2234.2269.9331111.9305.5330.9417.6254.257.947.727.112.36.3126.80000
Uitgestelde opbrengsten 9,132.113,138.320,493.94,992.15,109.41,711.21,598.76,084.21,649.11,5311,841.21,480.41,559.71,260.9001,214.61,609.11,473.2000
Overige kortlopende verplichtingen 2,350.65,987.75,1471,076.21,069.64,033.13,258.72,661.23,346.23,180.73,304.63,1252,490.32,343.34,912.35,985.12,258.41,894.51,754.58,285.710,645.59,664.3
Totaal kortlopende verplichtingen 18,153.228,669.934,242.911,74911,103.311,298.811,002.313,147.19,2779,619.88,975.29,2738,940.27,412.17,715.79,385.66,315.56,821.55,179.58,285.710,645.59,664.3
Langlopende verplichtingen:
Langetermijnschulden 14,558.611,465.39,226.58,192.67,554.75,837.55,9526,720.26,8107,187.15,547.45,560.15,897.56,677.4002,705.42,958.73,507.8000
Uitgestelde opbrengsten niet-vlottend 1,196.61,206.61,108.81,077.61,038.313,749.913,124.513,011.914,562.414,436.512,612.811,422.111,393.79,767.8009,647.99,790.9181.72,230.21,993.11,958.6
Uitgestelde belastingverplichtingen niet-vlottend 835.6958.11,018.3916890774.8799.4652.8670.7648.9953.71,325.31,495.31,798.61,6771,631.41,616.81,995.81,687.71,556.31,528.51,022.4
Overige niet-vlottende verplichtingen 14,121.914,434.517,177.416,26115,256.71,674.72,043.81,787.11,748.61,874.21,968.72,0061,960.61,965.718,897.916,324.82,1272,12611,250.59,699.29,508.59,069.6
Totaal niet-vlottende verplichtingen 30,712.728,064.528,53126,447.224,739.722,036.921,919.722,17223,791.724,146.721,082.620,313.520,747.120,209.520,574.917,956.216,097.116,871.416,627.713,485.713,030.112,050.6
Totaal passiva 48,865.956,734.462,773.938,196.235,84333,335.732,92235,319.133,068.733,766.530,057.829,586.529,687.327,621.628,290.627,341.822,412.623,692.921,807.221,771.423,675.621,714.9
Eigen vermogen:
Preferente aandelen 527.702,3710000000000000000000
Gewone aandelen 708.1708.1708.1708.1708.1708.1708.1708.1708.1708.1708.1708.1640640640640640640640640640640
Ingehouden winsten 8,559.57,273.55,742.15,629.75,234.54,676.43,636.61,582.53,601.53,769.34,378.94,541.90004,350.80003-73.3-301.6
Overige gereserveerde algehele resultaten -527.7411.3-2,3712,629.42,668.9-26,551.8-26,160.7-26,128.9-24,111.5-22,987.8-22,835.5-22,592.5-21,997.6-21,485.700-20,146.5-19,746.1-19,164.8000
Overige totale aandeelhoudersvermogen 41.1570.1-1,802.8-5,059.6-4,664.425,145.225,363.425,15623,037.421,950.522,613.823,270.926,225.827,330.94,689.8-1,014.324,557.922,578.121,099.4344.7355.31,704.1
Totaal eigen vermogen van aandeelhouders 9,308.78,9634,647.43,907.63,947.13,977.93,547.41,317.73,235.53,440.14,865.35,928.44,868.26,485.25,329.83,976.55,051.43,4722,574.6987.79222,042.5
Totaal eigen vermogen 15,85312,769.38,499.37,768.87,445.16,273.35,862.93,216.25,089.54,545.66,082.77,183.46,133.47,618.26,407.74,779.96,001.74,401.53,311.91,667.81,544.22,392
Totaal passiva en aandeelhoudersvermogen 64,718.969,503.771,273.245,96543,288.139,60938,784.938,535.338,158.238,312.136,140.536,769.935,820.735,239.834,698.332,925.128,414.328,094.425,119.124,119.325,219.824,106.9