Evotec SE

FSX:EVT.DE

8.565 (EUR) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 510.909415.155699.326422.164277.034109.05567.01783.9444.49748.7145.64439.06517.77721.09132.92655.06437.99178.72353.524.1161.39100
Kortetermijnbeleggingen 93.203314.828159.17270.05444.62840.82434.55843.92290.46141.20652.49426.57246.00647.44525.43229.03458.13620.52793.49960.03231.51100
Liquide middelen en kortetermijnbeleggingen 604.112729.983858.498492.218321.662149.879101.575127.862134.95889.91698.13865.63763.78368.53658.35884.09896.12778.72353.5264.14832.90200
Nettovorderingen 204.055275.771153.335136.878124.13160.94369.9829.82822.1926.14618.2115.53310.59412.4384.8573.9049.1677.7714.12916.344000
Voorraad 30.8929.82525.79313.58510.7495.669.0174.3053.1333.1112.3582.4453.5562.8192.4252.1392.3944.78210.5020000
Overige vlottende activa 144.764123.04363.57862.82614.62833.71723.5477.246.6596.8045.3424.4893.0272.8993.3172.9374.15331.0093.8224.0031.83700
Totaal vlottende activa 903.1621,073.6711,100.94658.844469.53249.769180.252169.235166.94125.3122.52688.10483.33386.69268.95793.078111.841113.81981.97365.49934.7400
Niet-vlottende activa:
Materiële vaste activa, netto 806.563650.201484.597337.297239.22990.51974.66243.42138.33424.04524.23927.18124.94618.48719.16218.46818.45834.66938.1634.4424.46200
Goodwill 275.635274.819257.569247.37255.919220.791220.17893.22745.64844.81540.13642.34242.20225.97916.55713.28839.0448.91500000
Immateriële activa 15.45423.81930.85198.036116.994122.989135.03322.45425.15430.2139.82663.26667.65257.61529.0147.16737.4842.98900000
Goodwill en immateriële activa 291.089298.638288.42345.406372.913343.78355.211115.68170.80275.02579.962105.608109.85483.59445.56760.45576.50255.00265.9210.7761.74600
Langetermijnbeleggingen 142.094150.332287.00959.02141.25228.9922.1413.9680.080.0910.0870.085-45.9263.0860.010.427-57.059-20.471-93.4450000
Belastingvorderingen 60.91510.32717.35924.9534.3343.32919.23310.5928.812002.8150-3.086000.01820.527-65.9210000
Overige niet-vlottende activa 95.2374.07856.83637.37723.65815.49615.7698.4693.570.1390.5661.63446.0063.08612.90310.47258.1181.98159.420.1930.7800
Totaal niet-vlottende activa 1,395.8911,183.5761,134.221804.051711.382522.114487.016182.131121.59899.3104.854137.323134.88105.16777.64289.82296.03791.707104.1385.4116.98700
Totaal activa 2,299.0532,257.2472,235.1611,462.8951,180.912771.883667.268351.366288.538224.6227.38225.427218.213191.859146.599182.9207.878205.526186.11170.90941.72718.70336.205
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 134.31997.27772.59842.54931.31931.13726.07811.99712.1719.456.6536.36310.1346.985.2357.19115.09311.488.1111.2550.54400
Kortlopende schulden 149.08616.38150.60930.00820.73156.919168.46821.6035.76813.36317.22713.22413.2068.6910.4962.9351.8363.7837.7441.0481.25200
Belastingschulden 5.5658.98710.5963.3627.3054.2322.0330.8020.2321.0460.7410.5020.4920.7730.2441.7190.34400.1250000
Uitgestelde opbrengsten 107.855136.67126.77970.64973.40561.18718.99415.9078.863.3486.2835.7818.1947.6755.4831.2386.58212.6847.4953.367000
Overige kortlopende verplichtingen 67.74878.39163.93461.89146.19542.846.36623.08121.0215.8618.2818.24513.1268.6844.9878.7437.06440.21213.6925.3033.35800
Totaal kortlopende verplichtingen 464.573337.706324.516208.459178.955196.275245.77573.3956.433.06838.95333.88242.83332.80226.44521.82624.33755.47529.6727.6055.15400
Langlopende verplichtingen:
Langetermijnschulden 477.112490.293462.308461.957442.36857.54621.467.2248.738.1860.0144.1782.363.5323.8898.3939.8258.1235.5291.5770.54300
Uitgestelde opbrengsten niet-vlottend 155.287206.13634.47626.1338.82351.04128.6841.1296.5094.3448.38212.5160.0093.5061.9690.580.551.1190.7260000
Uitgestelde belastingverplichtingen niet-vlottend 64.72218.52417.68820.39921.19921.51723.4990.1151.5381.5831.2452.0999.9046.661.9771.4631.5976.45300000
Overige niet-vlottende verplichtingen 17.45117.40418.48823.10422.53820.62416.10715.57228.26719.03619.81920.20515.86212.7220.8320.7791.016-2.821.5150000
Totaal niet-vlottende verplichtingen 714.572732.357532.96531.59524.928150.72889.74664.0445.04433.14929.4638.99828.13526.428.66711.21512.98812.8757.771.5770.54300
Totaal passiva 1,179.1451,070.063857.476740.049703.883347.003335.521137.43101.44466.21768.41372.8870.96859.22235.11233.04137.32568.3537.4429.1835.69700
Eigen vermogen:
Preferente aandelen 00000000000000000000056.59552.818
Gewone aandelen 177.186176.953176.608163.915150.903149.063147.533133.052132.584131.711131.46118.547118.316115.596108.839108.83973.86868.07962.7590.0180.00100
Ingehouden winsten -476.289-392.377-216.421-434.249-441.177-481.013-566.733-592.934-622.312-638.828-631.85-606.417-608.895-615.644-618.904-573.381-495.094-506.876-474.408-89.984-65.14300
Overige gereserveerde algehele resultaten -30.643-37.402-12.638-37.522-19.562-27.2-28.903-25.152-18.51-23.169-27.41-25.501-35.069-26.679-27.478-26.844-27.484-65.30700000
Overige totale aandeelhoudersvermogen 1,449.6541,440.011,430.1361,030.702786.865783.154778.858698.069693.74688.669686.767665.918663.819658.888648.417614.401628.53641.286560.318590.3522.77-37.892-16.614
Totaal eigen vermogen van aandeelhouders 1,119.9081,187.1841,377.685722.846477.029424.004330.755213.035185.502158.383158.967152.547147.245132.161110.874149.859170.553137.182148.66961.062-62.37318.70336.205
Totaal eigen vermogen 1,119.9081,187.1841,377.685722.846477.029424.88331.747213.936187.094158.383158.967152.547147.245132.637111.487149.859170.553137.176148.66961.062-62.37318.70336.205
Totaal passiva en aandeelhoudersvermogen 2,299.0532,257.2472,235.1611,462.8951,180.912771.883667.268351.366288.538224.6227.38225.427218.213191.859146.599182.9207.878205.526186.11161.062-62.37318.70336.205