ENCE Energía y Celulosa, S.A.

MSE:ENC.MC

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 333.032412.913379.964532.62222.214348.623256.228181.195127.28873.428103.39140.20571.62970.98349.1325.2627.1762.43811.39511.5277.344
Kortetermijnbeleggingen 7.9382.0580.3183.2092.5710.2955.2769.588.6998.51355.8767.57522.82401.9134.949-242.787-205.741-175.09700
Liquide middelen en kortetermijnbeleggingen 340.97414.971380.282535.829224.785348.918261.504190.775135.98781.941159.26740.20594.45370.98351.04510.2117.1762.43811.39511.5277.344
Nettovorderingen 60.0689.479111.91881.34652.877130.541144.291126.609215.459202.676142.605246.947140.2160.072102.806148.821181.933144.511138.068220.708128.063
Voorraad 72.102101.98365.30351.45856.47442.70338.49743.04139.57935.73369.54486.506112.462105.91188.844158.50487.04292.418100.21183.60683.656
Overige vlottende activa 1.352.2822.1771.3321.832.0562.0633.570.4721.3210.9530.89613.91616.9071.37710.76630.65472.93360.913-91.2510.992
Totaal vlottende activa 474.482608.715559.68669.965335.966524.218446.355363.995391.497321.671372.369374.554361.031353.873244.072328.302306.805312.3310.587224.59220.055
Niet-vlottende activa:
Materiële vaste activa, netto 1,056.11983.876883.5611,092.8761,238.304987.136692.673686.299641.93643.996776.246774.179770.142747.14737.807834.643615.615559.455566.788573.761554.005
Goodwill 2.7372.7371.4931.7426.0665.6752.4882.6970000000000000
Immateriële activa 39.26735.1735.20140.16255.83554.43813.48415.24212.61313.69819.05721.55606.5344.97221.1116.47715.2020.00256.36513.767
Goodwill en immateriële activa 39.26737.90736.69441.90461.90160.11315.97217.93912.61313.69819.05721.5568.1276.5344.97221.1116.47715.2020.00256.36513.767
Langetermijnbeleggingen 62.61828.68823.97218.18-2.52213.726-2.7972.054-5.672-5.557-52.958-3.431-18.759168.4893.581267.333244.95208.093178.13800
Belastingvorderingen 94.99653.09145.56371.95254.04256.47759.78368.45670.83181.58835.55730.5842.65349.88173.2317.2728.3297.5847.54600
Overige niet-vlottende activa -0.00168.02963.577.31690.42582.55791.1192.99196.59298.76211.988180.611205.65.788160.564-6.7682.84314.09272.754-35.93122.431
Totaal niet-vlottende activa 1,252.991,171.5911,053.291,302.2281,442.151,200.009856.741867.739816.294832.485989.891,003.4951,007.763977.832980.1541,133.59888.214804.426825.228594.195590.203
Totaal activa 1,727.4721,780.3061,612.971,972.1931,778.1161,724.2271,303.0961,231.7341,207.7911,154.1561,362.2591,378.0491,368.7941,331.7051,224.2261,461.8921,195.0191,116.7261,135.815818.785810.258
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 215.016311.82227.019193.402154.578161.258147.898129.768139.101139.559179.578177.479199.6190195.259161.078114.16198.235103.59878.66465.668
Kortlopende schulden 185.19899.43940.8781.53926.281152.65113.73120.47614.81316.40412.92524.10820.45211.17189.896215.14203.2750141.12100
Belastingschulden 0.0448.79715.65626.0318.2599.65312.07910.7720.057001.313002.80907.62916.65117.96900
Uitgestelde opbrengsten 0.04498.093000000054.89442.49550.65647.50603.32814.88731.341018.21300
Overige kortlopende verplichtingen 68.3416.89285.319132.961124.247129.68643.55355.84543.6160.6060.7380.4530.501208.8920.4240.4350.299147.517-0.664208.353202.858
Totaal kortlopende verplichtingen 468.599516.244353.208407.902305.106443.595205.182206.089197.53211.463235.736252.696268.078220.062388.907391.54349.076245.752262.268287.017268.526
Langlopende verplichtingen:
Langetermijnschulden 405.371226.693437.437610.296597.844454.326395.28376.563386.635340.049338.937309.632274.1860155.755250.6146.43142.93846.6140146.081
Uitgestelde opbrengsten niet-vlottend 6.0186.4084.8795.5586.757.849.1969.67111.25411.03215.20920.07657.83407.0763.167.86713.58211.94813.16817.448
Uitgestelde belastingverplichtingen niet-vlottend 26.998108.481107.30921.66137.57540.01723.82320.51220.5621.94827.63331.74528.28923.64923.46726.21523.86546.13766.17700
Overige niet-vlottende verplichtingen 164.879104.34284.61976.647155.90881.15327.38157.33423.59426.73634.44439.17620.244321.63872.12460.80322.01325.91611.707120.82113.256
Totaal niet-vlottende verplichtingen 603.266445.924634.244714.162798.077583.336455.68464.08442.043399.765416.223400.629380.553345.287258.422340.788100.176128.573136.446133.989176.785
Totaal passiva 1,071.865962.168987.4521,122.0641,103.1831,026.931660.862670.169639.573611.228651.959653.325648.631565.349647.329732.328449.252374.325398.714421.006445.311
Eigen vermogen:
Preferente aandelen 000000000000000000000
Gewone aandelen 221.645221.645221.645221.645221.645221.645221.645225.245225.245225.245225.245225.245232.212232.212157.41157.41157.41152.8215.282114.615114.615
Ingehouden winsten -24.72247.22-190.409-32.005-34.45957.934-0.65-70.406-59.262-140.9094.31143.03141.19264.711-5.44000000
Overige gereserveerde algehele resultaten 154.621274.454123.757210.11132.72728.943228.443201.53794.962000000000000
Overige totale aandeelhoudersvermogen 182.516-42.43357.667313.672436.77370.502182.893197.955307.273458.592480.744456.448446.759469.433424.927572.154588.351586.179721.513279.894250.332
Totaal eigen vermogen van aandeelhouders 534.062700.889512.66713.423656.683679.024632.331554.331568.218542.928710.3724.724720.163766.356576.897729.564745.761738.999736.795394.509364.947
Totaal eigen vermogen 649.589818.138625.518850.129674.933697.296642.234561.565568.218542.928710.3724.724720.163766.356576.897729.564745.764740.7736.948396.144364.947
Totaal passiva en aandeelhoudersvermogen 1,727.4721,780.3061,612.971,972.1931,778.1161,724.2271,303.0961,231.7341,207.7911,154.1561,362.2591,378.0491,368.7941,331.7051,224.2261,461.8921,195.0191,116.7261,135.815818.785810.258