Fresenius Medical Care AG & Co. KGaA

FSX:FME.DE

40.93 (EUR) • At close November 14, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 4998951,2191,4351,4392,2261,5541,472.8511,200.9491,036.174909.2971,003.38908.316801.071673.531587.32491.858406.687384.121296.546262.967276.16171.204225.805-247.00116.286
Afschrijvingen & Amortisatie 1,751.9711,838.3631,623.6761,7861,593725736736.901655.811574.83469.432455.874429.753378.374318.968298.593249.197233.897212.303171.573171.81200.653363.588311.813282.443237.892
Uitgestelde Inkomstenbelasting -122.149-41.47167.259111.10464.26689.171-203.046-5.351-41.57393.57611.52453.279-22.43-4.899-38.91-15.1310.8078.262-3.10325.28872.50455.7-52.15181.915-89.36720.123
Aandelen Gebaseerde Vergoedingen 32.515-5.87128.29440.8951.99210.74546.81128.69311.2716.9969.84420.0222.4321.03923.55322.90000000000
Verandering in Werkkapitaal 561.276-566-3541,012-465-889-98-174.955-64.026-80.59198.614130.669-222.206-177.935-57.931-301.91632.151-3.957-38.068104.735-14.221-21.41291.744-206.866311.73-141.627
Vorderingen -151.844-46.682-163.19771.695-64.111-170.49-86.247-305.918-302.99-227.145-37.837-52.327-195.043-225.776-29.31-173.8150000000000
Voorraden -13.14-204.307-48.53-355.831-117.504-157.092-62.692-63.391-275.321-70.524-39.771-36.506-117.19113.779-62.072-67.604-49.948-32.242-8.28420.098-18.257-6.212-33.943-24.496-15.656-33.51
Crediteuren 108.479-356.789-363.9551,373.617-164.767368.39518.741170.564526.993193.457153.179178.18400000000000000
Overig Werkkapitaal 617.78141.778221.682-77.481-118.618-929.808-467.80223.79-12.70823.62123.04241.31890.02834.06233.451-60.49782.09928.285-29.78584.6374.036-15.2125.687-182.37327.386-108.117
Overige Niet-Contante Posten -49946.9791,6241,786-66.258-99.916156.235-23.34130.302-100.572-25.145-121.405-0.20211.04315.357138.35416.60412.58510.69112.541105.65412.9542.4313.9390.98995.839
Kasstroom uit Operationele Activiteiten 2,628.8012,1672,4894,2332,5672,0622,1922,034.7981,792.7341,530.4121,473.5651,541.8171,115.6611,028.693934.568730.119822.752687.854565.944610.683598.714524.055476.817416.597348.795228.513
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -684.596-1,411-1,683-2,088-2,238-2,060-1,785-1,941.615-1,726.878-1,523.011-541.642-510.629-1,838.604-393.717-400.629-493.755-397.558-353.987-265.763-205.615-231.269-227.912-309.328-242.8-159.281-325.375
Netto Overnames 136.9991.028-381.727-244.377-2,172.731757.708-150.306-348.955-59.59-1,456.236-345.759-1,221.6217.716-464.301-94.923-156.52-176.87-3,263.584-105.668-77.082-73.202-76.08-243.564-292.303-100.6970
Aankoop van Beleggingen -102.363-106-129-96-2,173-925-151-348.958-60.368-1,455.577-358.994-1,420.71700000000000000
Verkoop/verval van Beleggingen 89.59558144421,113-0.543-415.154-200.221-229.354-7.1420000000000000000
Overige Investeringsactiviteiten 16.138723.247853.4991,051.4352,184.7441,982.7961,509.9191,528.2311,160.9032,229.197373.3671,428.02721.60312.1128.3769.94641.54404.12414.71413.54211.77236.00627.19322.0667.08686.374
Kasstroom uit Investeringsactiviteiten -544.227-734.725-1,196.228-1,334.942-3,285.987-245.039-991.541-1,311.519-915.287-2,212.769-873.028-1,724.941-1,809.285-845.906-487.176-640.329-532.889-3,213.448-356.717-269.155-292.699-267.987-525.699-513.038-252.892-239.001
Financieringsactiviteiten:
Schuldaflossingen -1,259.156-1,023.045-358.903-1,265.991318.548160.928-308.331-212.566-298.157929.765-144.571868.6281,229.497-77.938-12.756-248.05211.6152,287.33662.824-377.389-10.557173.356-311.855-492.467-14.854-491.644
Uitgifte van Gewone Aandelen 020.1536.511000047.46784.917025.1902,421.17900608.85332.191273.30767.4982.6721.270.5247.183593.0150509.72
Terugkoop van Gewone Aandelen 0-20.153-6.511-365.988-599.796-37.221-57.938000-380.3910-504.59400-487.307-5.596000-7.072-358.507000-52.609
Uitgekeerde Dividenden -328.623-395.556-392.455-351.17-354.636-324.838-293.973-263.55-240.779-261.431-214.454-205.468-216.806-174.416-209.388-181.305-129.223-116.472-116.082-90.075-85.565-73.134-73.933-54.546-48.103-41.951
Overige Financieringsactiviteiten -270.75-198.759-273.024-680.878169.251-480.605-138.388-62.9-372.52-5.12122.992-302.945-442.371242.17-168.016322.705-134.563124.853-199.791131.422-228.2975.093427.492119.704-15.86887.398
Kasstroom uit Financieringsactiviteiten -1,858.529-1,617.36-1,024.382-2,664.027-466.633-681.736-798.63-556.014-921.556662.009-585.166354.131611.839-11.066-390.16-112.103-233.6542,563.03-185.551-333.37-330.221-252.66948.887165.708-78.82510.914
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -72.607-23.162131.228-160.37147.7632.387-132.41320.86-33.091-20.205-19.1823.47130.862-5.067-2.0945.7142.55618.583-1.63-0.38411.211-0.331-3.382-37.519-14.203-5.457
Netto Kasstroomverandering 153.438-207.868400.11673.816-1,137.9091,167.523269.227188.012-77.156-40.231-3.811174.478-50.922166.65555.139-16.59858.76556.01822.0467.774-12.9953.07-3.37731.7472.875-5.031
Kaspositie aan het Einde van de Periode 1,427.2251,273.7871,481.6551,081.5391,007.7232,145.632978.109710.499502.606521.257494.453520.255352.598393.146210.086159.173167.826120.4871.83143.49838.45261.74669.20168.75834.54427.2