Glanbia plc

ISE:GL9.IR

13.95 (EUR) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 413.7438.6231164.3269224.6162.2218.855210.889110.37106.259275.572231.373229.101152.789132.572159.819259.311104.40551.62559.77590.953123.396113.829117.965169.609138.23479.206105.44474.62657.99624.8968.92626.83813.77311.353000
Kortetermijnbeleggingen 15.2510.7440.20.4002.29.2288.8681.2791.751.45703.9127.50110.3784.996.7761.12500011.80514.11917.13616.48916.4482.832.8682.5740.0780.0780.0780.0780.2280.5710.1350.1350.138
Liquide middelen en kortetermijnbeleggingen 413.7438.6231164.3269224.6162.2218.855210.889110.37106.259275.572231.373229.101152.789132.572159.819259.311104.40551.62559.77590.953123.396113.829117.965169.609138.23479.206105.44474.62658.07424.96869.00426.91614.00111.9240.1350.1350.138
Nettovorderingen 2.562335.83321279.8391.238126826.67647.764278.428239.2931.457245.7183.9127.50110.378371.9516.7761.12588.88591.60420.87966.29336.874-4.2575.90234.43147.248-101.49964.94623.23837.0890000000
Voorraad 550.2703.7593.6377.6447.5384.6321.6366.532344.353336.802314.481282.028336.855303.881201.577267.422225.057145.158144.25133.419202.736180.022218.032197.386227.505242.045276.32499.69793.70789.3562.38163.32649.549.82245.8445.94332.50133.42629.458
Overige vlottende activa 516.638436.8283.440.765.141.747.9343.12358.50927.87819.673282.406324.917255.44224.543210.45862.862185.761161.824192.413239.409244.316231.224277.271336.801346.378374.521176.732205.821174.478132.517118.58372.60466.36752.88833.35726.78429.18330.927
Totaal vlottende activa 1,483.11,551.91,429862.41,172.8970.5799.7918.935905.676753.478679.706830.646878.69783.725566.193593.121612.404575.856393.39357.666476.647497.813601.303606.437680.179732.745763.641341.283359.673328.956247.523201.894191.108143.105112.72991.22459.28562.60960.385
Niet-vlottende activa:
Materiële vaste activa, netto 603.4573.3585.1523.8474.1453442.2628.245586.19490.18373.972309.496394.552369.346363.152361.131298.771335.152340.503302.057363.641416.826511.72533.428551.026559.275567.008308.592287.097289.992231.573199.301151.015144.095110.36586.5233.60733.57130.518
Goodwill 727.4668.3629.1548.4574.3549.8396.2386.899374.096262.989181.758189.112000000000000000000000000000
Immateriële activa 809.9783.8746.3694.9770.3754.2563.6579.304577.431399.18272.728283.904467.277356.83342.112359.212137.565138.72457.96336.6982.4664.425.0424.9583.6063.4820000000000000
Goodwill en immateriële activa 1,537.31,452.11,375.41,243.31,344.61,304959.8966.203951.527662.169454.486473.016467.277356.83342.112359.212137.565138.72457.96336.6982.4664.425.0424.9583.6063.48216.4482.832.8682.5741.4651.2410.5480.1640.1450.174000
Langetermijnbeleggingen 146.649212.556186.5398.7376.60275.8167.005160.368160.652151.134133.755066.7960.81666.11463.06762.82569.797035.58636.45421.21820.8042.7962.8720.8532.7723.64.1014.2413.6483.1943.0243.6683.2642.4261.8371.666
Belastingvorderingen 5.24.74.72.41.92.11.61.81836.47428.50322.46419.96311.2557.38812.02225.3821.67223.92315.86912.29959.77590.953123.396113.829117.965169.609138.23479.206105.44474.62657.99624.8968.92626.83813.77311.353000
Overige niet-vlottende activa 28.65165.54446.934.830.9369.13.926.45610.71811.14211.12618.29296.40242.76681.17150.01142.81326.32789.335139.813-59.775-90.953-111.591-99.71-100.829-153.12-138.234-79.206-105.444-74.626-57.996-24.89-68.926-26.838-13.773-11.3530.1350.1350.138
Totaal niet-vlottende activa 2,3162,308.22,198.62,2032,228.12,128.21,683.31,789.7271,745.2771,352.6461,013.182954.522969.486843.12859.273861.848563.888586.951573.467490.867401.693457.7549.785573.309574.564582.118584.309314.194293.565296.667237.279204.19154.757147.283114.17889.95836.16835.54332.322
Totaal activa 3,799.13,860.13,627.63,065.43,400.93,098.72,4832,708.6622,650.9532,106.1241,692.8881,785.1681,848.1761,626.8451,425.4661,454.9691,176.2921,162.807966.857848.533878.34955.5131,151.0881,179.7461,254.7431,314.8631,347.95655.477653.238625.623484.802406.084345.865290.388226.907181.18295.45398.15292.707
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 280.2385442.5260.3349.6255.662187.1276.1232.173255.496229.583210.425216.917174.583156.812149.241162.983127.509140.794151.014176.218155.757177.131183.696202.135277.601275.297151.99153.643157.908109.24787.65262.15667.79445.12830.37441.90428.46718.795
Kortlopende schulden 129294.4152.2231.4371.148.930.333.86545.6120.41639.062133.12567.1131.3191.31115.2811.4081.3871.1333.50953.8191.2031.0063.294.89318.52731.8856.09162.70961.65149.30640.4159.96855.0624.71117.9112.1429.7917.548
Belastingschulden 00050.367.759.75254.08318.9693.1151.4157.436.6562.5382.8160.3329.1821.9424.6058.1818.27614.53516.49415.34514.37714.34418.895.7137.0645.0872.652.1230.739000000
Uitgestelde opbrengsten 0067.644.5003074.78338.999-203.149-9.6214.6930000259.5250000000000000000000000
Overige kortlopende verplichtingen 471.3440.6292.7177.1166.9216.538266.867203.576227.411158.409290148.647336.425360.797306.946242.515216.35291.224203.22279.178200.555170.407170.4199.582242.372245.677279.15595.593113.94198.47775.38663.57932.37527.49718.69915.916-10.216-2.496-1.956
Totaal kortlopende verplichtingen 880.51,120887.4719.1955.3519.4398.3567.624524.165417.436413.145499.627483.847397.348337.168407.369389.923319.792295.301241.882352.446317.442410.262427.932463.778488.666561.222262.082263.108263.494212.017160.349115.98109.71974.5954.97233.8335.76138.7
Langlopende verplichtingen:
Langetermijnschulden 642.8786802.2650.711514.2752.4499.6656.472815.045700.093598.689527.046768.859777.293736.831650.115315.541444.57488.822198.682212.122286.651324.803379.902452.742615.205540.6969.562204.321188.449111.63798.98487.44179.22936.27314.80927.00326.813.403
Uitgestelde opbrengsten niet-vlottend 00000-456.877.7128.584106.319133.37796.527120.146-468.698107.803107.83382.31877.37827.79214.628-95.845-91.488-111.371-122.294-106.76-260.487-106.1930-43.07127.47130.13134.95336.21920.92119.3516.916-0.03212.9450.9851.589
Uitgestelde belastingverplichtingen niet-vlottend 137.9129.7144.4146.5168.6160.3125.6158.206201.646128.00295.58491.05793.45975.96666.33759.05637.58738.61134.47130.37527.55923.72321.10917.23816.35.60205.7064.1653.4462.1372.9662.7371.2140.2830.220.1450.1610.183
Overige niet-vlottende verplichtingen 5.3-52.6197.7240.673229.5237.8343.791257.49769.247183.817263.7762.636228.188239.326294.37328.192-23.23131.523211.959138.07144.0427.26174.48565.99949.22773.32257.58141.52542.51943.6623.44922.6261.3630.9372.1612.141.568-0.1250.278
Totaal niet-vlottende verplichtingen 786871.7999.9734.5743.7990.2703913.9691,063.715883.91636.223740.885841.38805.093790.91819.681551.794642.496547.838376.357227.852317.635418.069462.091518.269609.903598.27198.935195.761192.088152.176124.57691.53881.27945.63314.70122.05626.83619.885
Totaal passiva 1,666.51,991.71,887.31,453.61,6991,509.61,101.31,481.5931,587.881,301.3461,049.3681,240.5121,325.2271,202.4411,128.0781,227.05941.717962.288843.139618.239580.298635.077828.331890.023982.0471,098.5691,159.493361.017458.869455.582364.193284.925207.518190.998120.22369.67355.88662.59758.585
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 19.8104.1105105.3105.4105.4105.417.762105.37104.728103.997102.09517.67217.6317.61317.61317.617.59417.58717.55917.55117.55117.55117.55118.57118.57118.511.09630.13630.13623.73423.73423.72921.98321.98321.9577.3787.3597.355
Ingehouden winsten 1,830.81,397.71,381.71,380.51,327.41,242.81,086.3778.986642.763473.573405.289289.997261.308185.54483.00419.70721.176-18.116-100.737-97.7970-32.232-44.977-70.92241.32790.85179.177126.25898.86374.4745.70246.25555.16745.83635.5725.5575.255-1.1743.406
Overige gereserveerde algehele resultaten 0177.348251.9137.4283.100000000000000000-424.392-373.967-360.061-384.435-430.55-150.368-20.0980000000000
Overige totale aandeelhoudersvermogen 282154.681.476.2-14557.176553.529482.12174.37179.011438.981402.996389.563214.338190.278245.285188.759262.204240.797258.364202.367212.431622.305571.01236.88-78.177-90.923230.180.69597.98361.30372.21656.89964.40846.9762.16226.15631.16919.083
Totaal eigen vermogen van aandeelhouders 2,132.61,861.11,732.21,611.81,701.91,589.11,381.71,215.9961,054.558796.882635.886537.381515.814417.512290.895219.909227.535193.884117.419113.825176.612181.297168.552142.60797.15246.35614.412217.086189.596165.203117.16117.682135.79596.493104.523109.67638.78934.91733.587
Totaal eigen vermogen 2,132.61,868.41,740.31,611.81,701.91,589.11,381.71,227.0691,063.073804.778643.52544.656522.949424.404297.388227.919234.575200.519123.718230.294298.042320.436322.757289.723272.696216.294188.457294.46194.369170.041120.609121.159138.34799.39106.684111.50939.56735.55534.122
Totaal passiva en aandeelhoudersvermogen 3,799.13,860.13,627.63,065.43,400.93,098.72,4832,708.6622,650.9532,106.1241,692.8881,785.1681,848.1761,626.8451,425.4661,454.9691,176.2921,162.807966.857848.533878.34955.5131,151.0881,179.7461,254.7431,314.8631,347.95655.477653.238625.623484.802406.084345.865290.388226.907181.18295.45398.15292.707