EVS Broadcast Equipment SA

EBR:EVS.BR

36.25 (EUR) • At close February 19, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 87.76650.94749.05172.14452.66859.0168.48239.42353.1522.57225.55611.7521.42619.93227.94633.31145.45435.51528.93526.22724.3733.7592.1583.317
Kortetermijnbeleggingen 0.2910.2440.1740.2010.120.2380.1290.2362.0031.1181.5750000000000.147000
Liquide middelen en kortetermijnbeleggingen 88.05751.19149.22572.34552.66859.0168.48239.65955.15323.6927.13111.7521.42619.93227.94633.31145.45435.51528.93526.22724.523.7592.1583.317
Nettovorderingen 070.51866.8542.75733.95536.58232.835.39126.79938.18631.94332.595025.419.3761510.6914.61912.87514.4312.738000
Voorraad 34.51233.00128.78625.95122.57916.82315.11315.66713.54915.56815.36516.19315.86814.65712.428.5068.0795.5947.9556.0124.9294.6586.0925.714
Overige vlottende activa 011.8476.5452.5843.3666.3091.465.8253.4495.1378.1982.5126.2121.5760.9461.4610.8110.741.0340.1140.1523.82216.4615.661
Totaal vlottende activa 202.738166.557151.232143.637112.568118.724117.85592.29196.94779.13276.19263.04863.50661.56560.68858.27865.03456.46850.79946.78342.33732.23824.7124.692
Niet-vlottende activa:
Materiële vaste activa, netto 56.41755.07355.23456.9856.69553.70847.60148.70950.20151.6447.92433.69721.10713.95512.99113.13111.5529.6116.52813.5626.6798.6378.0246.24
Goodwill 4.4742.8322.8322.8322.8321.1251.1251.1251.1251.1251.1251.3930.610.610.82000000000
Immateriële activa 13.41616.0213.2156.1137.040.1730.4430.2910.3860.4050.4150.7251.0131.3871.9011.2530.5080.830.7150.5840.0280.0530.6770.925
Goodwill en immateriële activa 17.8918.85216.0478.9459.8721.2981.5681.4161.5111.531.542.1181.6231.9972.7211.2530.5080.830.7150.5840.0280.0530.6770.925
Langetermijnbeleggingen 3.3922.1892.262.1232.0351.5361.441.128-0.7080.075-0.4798.7327.89507.2927.5412.6375.122000.774000
Belastingvorderingen 8.0075.2034.6225.9338.7256.575.4283.2974.0900-8.732-7.89500.0060.0230.0480.094000000
Overige niet-vlottende activa 3.5863.7023.8212.6090.6631.1972.4536.0128.2356.16914.53210.0628.7258.951-0.001-0.0015.2612.8516.4321.0810.1470.2343.0085.394
Totaal niet-vlottende activa 89.29285.01981.98476.5977.9964.30958.4960.56263.32959.41463.51745.87731.45524.90323.00921.94720.00618.50813.67515.2277.6288.92311.70912.56
Totaal activa 292.03251.576233.216220.227190.016183.033176.344152.853160.276138.544139.707108.92694.96286.46883.69780.22585.0474.97664.47462.0149.96541.16136.41937.252
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 10.3210.6819.20710.4975.7754.874.8975.873.7224.9875.2255.4466.6265.4993.3314.8633.4292.6796.3954.6164.486000
Kortlopende schulden 3.7973.8963.753.7284.7126.7255.4935.255.255.27.1071.7910.2910.2910.2950.2990.2990.3090.364-0.4480.395000
Belastingschulden 3.6141.3931.9592.5862.2594.2822.5198.85117.0677.6588.1954.6661.3676.1394.9780.7582.3241.3352.2141.0973.064000
Uitgestelde opbrengsten 09.3399.34710.33423.07621.2592.5198.85136.94826.63124.2024.6661.3676.13915.3810.88002.21403.829000
Overige kortlopende verplichtingen 41.44522.63119.86813.87315.56216.9789.76916.96419.8818.97216.00617.97815.79215.85810.4026.7476.3844.2351.5851.021-2.24412.52512.15614.416
Totaal kortlopende verplichtingen 59.17647.9444.13141.01833.56232.85528.36636.93545.91936.81736.53329.88124.07627.78719.00716.04312.4368.55810.55811.1656.13812.52512.15614.416
Langlopende verplichtingen:
Langetermijnschulden 9.07210.44411.52813.55412.2516.7624.4269.314.5519.624.88.2830.54100.5460.54600006.007000
Uitgestelde opbrengsten niet-vlottend 00001.2991.6362.105001.1321.0771.254002.232.54900000000
Uitgestelde belastingverplichtingen niet-vlottend 0.0420.0110.010.0111.3890.0190.044001.6781.6271.0431.0361.0831.1091.2591.1590.9750.2660.25200.4730.6030.258
Overige niet-vlottende verplichtingen 3.1221.8811.7573.3270.9931.6360.1111.2712.3611.1592.152.2952.0351.9242.2292.5483.3963.2973.5177.440.24428.16323.66122.579
Totaal niet-vlottende verplichtingen 12.23612.33613.29516.89215.9328.4176.64210.57116.91123.56929.65410.5783.6123.0073.8844.3534.5554.2723.78310.4536.25128.63624.26322.836
Totaal passiva 71.41260.27657.42657.9149.49441.27235.00847.50662.8360.38666.18740.45927.68830.79422.89120.39616.99112.8314.34121.61812.38941.16136.41937.252
Eigen vermogen:
Preferente aandelen 0000000014.8566.74700000000000000
Gewone aandelen 8.7728.7728.7728.7728.7728.7728.7728.3428.3428.3428.3428.3428.3428.3428.3428.3428.3428.3428.3428.3428.342161616
Ingehouden winsten 00183.39170.57149.309132.221136.601100.453-14.856-6.7476964.74565.25500000000000
Overige gereserveerde algehele resultaten 00.805184.465171.321149.585142.916-17.013-18.443-15.315-12.317-10.246-16.232-13.763-11.289-9.104000000000
Overige totale aandeelhoudersvermogen 211.846181.723-17.447-188.346-167.144-142.148132.56497.00589.10469.8165.17259.65658.92447.32452.457-2.86159.69753.79441.78327.62425.619-0.0016.5545.859
Totaal eigen vermogen van aandeelhouders 220.618191.3175.79162.317140.522141.761141.336105.34797.44678.15273.51467.99867.26655.66660.859.82368.03962.13650.12535.96633.96115.99922.55421.859
Totaal eigen vermogen 220.618191.3175.79162.317140.522141.761141.336105.34797.44678.15873.5268.46767.27455.67460.80659.82968.04462.14150.12938.17937.57616.00322.55821.863
Totaal passiva en aandeelhoudersvermogen 292.03251.576233.216220.227190.016183.033176.344152.853160.276138.544139.707108.92694.96286.46883.69780.22585.0474.97664.47462.0149.96557.16458.97759.116