Fluxys Belgium SA

EBR:FLUX.BR

15.3 (EUR) • At close October 17, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,068.2271,070.708366.931377.359369.005389.587320.573291.727327.061240.937130.758213.48405.622559.173514.389166.658219.5268.607
Kortetermijnbeleggingen 32.99826.11345.7439.45858.20553.279415.153101.20996.487411.271110.39848.54167.58442.9639.27515.306-165.853-184.962
Liquide middelen en kortetermijnbeleggingen 1,101.2251,096.821412.671416.817427.21442.866735.726392.936423.548652.208241.156262.021473.206602.133553.664181.964219.5268.607
Nettovorderingen 132.645170.03593.25377.45994.52494.741113.25291.16676.72173.44264.069095.52464.24170.74458.99752.6926.321
Voorraad 50.44362.65639.04226.37826.48829.10327.85621.526.11629.84846.74151.20843.33551.90267.85167.98133.9821.732
Overige vlottende activa 1.24415.97315.0413.21113.83526.50121.24220.22320.39439.72623.161171.3695.8075.99112.2967.24434.42433.603
Totaal vlottende activa 1,285.5571,345.485560.006533.865562.057593.211898.076525.825546.779795.224375.127484.598617.872724.267704.555316.186340.594350.263
Niet-vlottende activa:
Materiële vaste activa, netto 1,901.8661,885.3951,935.5642,047.6762,169.372,181.7712,250.6592,321.1232,330.5422,293.7122,377.3152,416.5482,528.8482,444.5052,326.331,883.4061,543.5851,472.014
Goodwill 000000000000003.465410.7584.5075.134
Immateriële activa 27.23822.86423.89128.20733.42439.86245.24652.2560.98611.9416.17417.02415.263295.353296.48517.54914.17912.768
Goodwill en immateriële activa 27.23822.86423.89128.20733.42439.86245.24652.2560.98611.9416.17417.02415.263295.353299.95428.30718.68617.902
Langetermijnbeleggingen 78.262111.22190.786112.25393.51677.54181.19557.03848.6444.52333.455-44.579-67.542-42.92144.967-12.317166.247185.359
Belastingvorderingen 00000.14400000071.39100045.7920.0091.04
Overige niet-vlottende activa 65.69341.60524.2678.0389.064-2,299.174-2,377.1-2,430.411-2,440.168-2,350.175-2,426.94432.241134.062130.52968.3630.2280.5290.752
Totaal niet-vlottende activa 2,073.0592,061.0852,074.5082,196.1742,305.5182,299.1742,377.12,430.4112,440.1682,350.1752,426.9442,492.6252,610.6312,827.4662,739.612,345.4161,729.0561,677.067
Totaal activa 3,358.6163,406.572,634.5142,730.0392,867.5752,914.9023,290.8732,989.1713,037.3523,186.9382,858.2552,977.2233,228.5033,551.7333,444.1652,661.6022,069.652,027.33
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 54.501444.53373.30730.29945.0739.3736.93649.44829.34935.99438.05248.832114.748100.314113.034103.65953.19975.079
Kortlopende schulden 55.33656.26957.432184.843143.577158.004467.17679.47273.329479.79484.32691.129086.3660186.548.27340.82
Belastingschulden 4.2481.022.1484.1463.8444.1026.6896.5241.8215.5677.42349.38853.26415.12911.7178.3611.2718.915
Uitgestelde opbrengsten 72.5021.022.1484.1463.844-158.004-467.176-79.4721.335-479.794-84.32600197.890111.9691.2718.915
Overige kortlopende verplichtingen 265.231199.85686.4852.46354.924211.27520.365137.37950.999537.301129.373139.799210.2835.104282.493.48414.17314.492
Totaal kortlopende verplichtingen 447.57701.678219.367271.751247.415250.64557.301186.827155.012573.295167.425279.76325.031389.674395.524405.612116.915149.306
Langlopende verplichtingen:
Langetermijnschulden 1,070.3111,089.8941,132.8311,557.2661,683.4211,723.8311,752.6541,765.0251,778.9341,476.4211,484.1811,458.0931,058.3411,161.3141,040.58534.15700
Uitgestelde opbrengsten niet-vlottend 56.40425.87829.2632.28835.5511,535.1971,548.8241,486.7191,473.9391,158.4151,142.529-1,673.88-1,347.042-1,486.721-1,457.905-581.58300
Uitgestelde belastingverplichtingen niet-vlottend 131.202143.548147.488152.546168.234188.634203.83278.306304.995318.006341.652355.748403.449512.087530.359337.585337.972351.771
Overige niet-vlottende verplichtingen 1,039.716801.955465.89477.1570.277-1,723.831-1,752.654-1,765.025-1,778.934-1,476.421-1,484.1811,729.441,425.9081,574.6621,546.612677.32375.116292.402
Totaal niet-vlottende verplichtingen 2,297.6332,061.2751,775.4731,819.251,957.4831,723.8311,752.6541,765.0251,778.9341,476.4211,484.1811,869.4011,540.6561,761.3421,659.646967.479713.088644.173
Totaal passiva 2,745.2032,762.9531,994.842,091.0012,204.8982,227.7462,577.0782,294.8192,301.132,437.4342,067.4032,149.1611,865.6872,151.0162,055.171,373.091830.003793.479
Eigen vermogen:
Preferente aandelen 00000000011.1892.1520000000
Gewone aandelen 60.27260.27260.27260.27260.27260.27260.27260.27260.27260.27260.27260.3160.3160.3160.3160.3160.3160.31
Ingehouden winsten 552.315508.56521.796542.537560.874595.693627.336641.331677.163700.383732.694764.0811,302.6611,340.4061,309.9921,210.2541,157.2751,150.28
Overige gereserveerde algehele resultaten 64.70174.74757.56836.19141.49357.07361.97338.4444.478-11.189-2.152-2,581.5330-2,385.9870-2,237.89100
Overige totale aandeelhoudersvermogen -64.6630.0380.0380.0380.038-25.882-35.786-45.691-45.691-11.151-2.1142,585.204-0.1552,385.987-1.2192,216.484-0.5340.07
Totaal eigen vermogen van aandeelhouders 612.625643.617639.674639.038662.677687.156713.795694.352736.222749.504790.852828.0621,362.8161,400.7161,369.0831,249.1571,217.0511,210.66
Totaal eigen vermogen 613.413643.617639.674639.038662.677687.156713.795694.352736.222749.504790.852828.0621,362.8161,400.7171,388.9951,268.8341,239.6471,233.851
Totaal passiva en aandeelhoudersvermogen 3,358.6163,406.572,634.5142,730.0392,867.5752,914.9023,290.8732,989.1713,037.3523,186.9382,858.2552,977.2233,228.5033,551.7333,444.1652,661.6022,069.652,027.33