Eutelsat Communications S.A.

EPA:ETL.PA

3.75 (EUR) • At close November 7, 2024
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 837.4482.2680.5861.18321,455.4733.54081,153.8420.3293.2248105.1136.94659.519143.74521.32145.479264.05537.043
Kortetermijnbeleggingen 6.5388.865.12723.683.416.9231.329.532.730.319.67.5124.9-2.561-2.49801,867.0580
Liquide middelen en kortetermijnbeleggingen 843.9482.2680.5861.18321,455.4750.44081,153.8420.3293.2248124.7144.45864.419143.74521.32145.479264.05537.043
Nettovorderingen 285.7261.4295.4288.5394.4304.7343.7345.4406.4309.3323.3304.7272.1245.642301.683302.199263.014229.561215.673212.183
Voorraad 39.41312.98.16.73.92.132.80.91.41.30.91.2111.3721.7712.0132.0922.2571.371
Overige vlottende activa 432.9427.797.769.867.1131.334.4380.8382.873.386.418.61819.30613.5122.256210.153164.25682.50231.327
Totaal vlottende activa 1,316.21,184.31,086.51,227.51,300.21,895.31,130.61,137.21,945.8803.8704.3572.6415.7410.617380.984469.971496.501441.388564.487281.924
Niet-vlottende activa:
Materiële vaste activa, netto 5,250.13,932.14,130.44,247.94,412.94,539.34,761.74,893.94,999.64,562.74,079.93,258.32,887.82,648.1822,530.5011,780.5191,469.9271,705.6351,749.5970
Goodwill 1,303.31,280.11,295.21,246.51,209.21,206.11,197.51,150.81,166.31,1651,103.9855.7807.8807.752807.752807.752804.869758.179750.714728.672
Immateriële activa 472.91,582.31,672.61,686.81,724575.5653.6702.5751.9809.5798.8639.8638.2671.044709.195751.484785.34829.791875.237918.688
Goodwill en immateriële activa 1,776.22,862.42,967.82,933.32,933.21,781.61,851.11,853.31,918.21,974.51,902.71,495.51,4461,478.7961,516.9471,559.2361,590.2091,587.971,625.9511,647.36
Langetermijnbeleggingen 12.1665648.771.532.813.621.70.110282.2286.8235.4174.2180.91228.028219.063179.667124.599-1,749.5970
Belastingvorderingen 30.315.31.47.636.32.74.64.68.523.832.21323.919.37452.62436.9372.2551.3818.73838.111
Overige niet-vlottende activa 133.3-1,248.3-1,261.2-1,208.8-1,134.3-16.3-4.6-4.6-18.5-23.8-32.230.222.813.3157.949543.717757.415464.5382,180.1292,183.352
Totaal niet-vlottende activa 7,2026,226.56,487.16,051.56,280.96,320.96,634.56,747.36,917.86,819.46,269.45,032.44,554.74,340.5774,336.0494,139.4723,999.4733,884.1223,824.8183,868.823
Totaal activa 8,518.47,410.87,573.67,2797,581.18,291.67,794.47,910.48,882.17,658.97,005.95,6054,970.44,751.1944,717.0334,609.4434,495.9744,325.514,389.3054,150.747
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 170.793.578.384.973.361.756.354.666.76975.964.947.253.17340.95641.50850.90944.04842.37646.261
Kortlopende schulden 141.7112.1359.831.2898.51,028.8823.823.7880.664.449.435.9131.5105.31332.86614.0931.33323.18529.75777.811
Belastingschulden 2599.523.620.822.82.510.621.213.728.813.425.56.539.71912.61833.6380.009020.30522.468
Uitgestelde opbrengsten 69.168.565.26966.959.581.667.480-64.4-49.4223.4000260.221120.839.6431.90529.605
Overige kortlopende verplichtingen 379.8438.4535218.2230.3336.6340251.8208.7300.9357.2-0.1127167.325314.51472.03635.668178.856141.288159.524
Totaal kortlopende verplichtingen 761.3712.51,038.3403.31,2691,486.61,301.7397.51,236369.9433.1324.1305.7325.811388.336387.855238.74255.729245.326313.201
Langlopende verplichtingen:
Langetermijnschulden 2,822.32,841.82,718.13,097.42,505.82,873.12,434.83,252.93,302.43,663.33,823.42,849.12,4672,359.9422,447.5712,454.6782,412.1892,308.9782,445.852,921.55
Uitgestelde opbrengsten niet-vlottend 431.5269159.2117.5120.6129125119.33,031.83,365.93,485.4112.5-2,612.5-2,509.58-2,663.2581.8795.78138.38550.33349.387
Uitgestelde belastingverplichtingen niet-vlottend 133.6157.9184.8197.9264.2229.1264.8306.9270.6297.4338336.2324.2308.124289.501266.874311.417304.932302.985316.304
Overige niet-vlottende verplichtingen 422.5357.5612.5772.2616.9-358.1-389.8-426.2-3,302.4-3,663.3-3,823.4-0.12,638.12,538.1442,742.5720.33220.603105.973134.531171.903
Totaal niet-vlottende verplichtingen 3,809.93,626.23,674.64,1853,507.52,873.12,434.83,252.93,302.43,663.33,823.43,297.72,816.82,696.632,816.3922,823.7542,839.992,758.2682,933.6993,459.144
Totaal passiva 4,571.24,338.74,712.94,588.34,776.55,424.24,946.84,999.16,147.35,124.94,975.23,621.83,122.53,022.4413,204.7283,211.6093,078.733,013.9973,179.0253,772.345
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 475.2248.9230.5230.5230.5232.8232.8232.8232.8227220.1220.1220.1220.114220.114219.804219.642217.401215.692278.733
Ingehouden winsten 264.41,895.11,828.81,6661,711.21,710.11,695.31,739.51,682.70001,111.4978.302725.951584.9130016.179-25.489
Overige gereserveerde algehele resultaten 264.41,895.11,828.81,6661,711.11,710.11,695.51,739.41,682.71,651.81,309.71,23100000000
Overige totale aandeelhoudersvermogen 2,847.4-1,063.8-1,110.8-948-993-972-957.2-1,001.4-944.6594.1453.2484.4453.2453.214497.128526.0471,132.0771,018.658907.4850
Totaal eigen vermogen van aandeelhouders 3,851.42,975.32,777.32,614.52,659.82,6812,666.42,710.32,653.62,472.91,9831,935.51,784.71,651.631,443.1931,330.7641,351.7191,236.0591,139.356253.244
Totaal eigen vermogen 3,947.23,072.12,860.72,690.72,804.62,867.42,847.62,911.32,734.82,5342,030.71,983.21,847.91,728.7531,512.3051,397.8341,417.2441,311.5131,210.28378.402
Totaal passiva en aandeelhoudersvermogen 8,518.47,410.87,573.67,2797,581.18,291.67,794.47,910.48,882.17,658.97,005.95,6054,970.44,751.1944,717.0334,609.4434,495.9744,325.514,389.3054,150.747