Glanbia plc

ISE:GL9.IR

15.7 (EUR) • At close October 17, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operationele Activiteiten:
Nettowinst 344.5256.8167.4143.8180.2234329.4212.155218.696173.577176.004149.307152.303146.745156.841114.75192.37173.11275.89189.15275.41888.58891.66281.82692.153140.307117.7958.53157.07151.54541.59536.50926.714
Afschrijvingen & Amortisatie 149142.5126.9124.810988.9112.389.92274.26254.74248.21444.87651.17247.6842.59334.14634.06229.86727.39827.58838.12553.07255.40955.87746.87552.66257.93225.92524.35222.27215.80614.05212.065
Uitgestelde Inkomstenbelasting -7.70-95.5-73.4-102.60-217.5-41.189-63.241-87.969-89.337-72.991000000000000000000000
Aandelen Gebaseerde Vergoedingen 24.519.818.0026.3115.28310.0669.3588.1119.4436.2256.1924.2442.3882.9370.1870.8270.5870.199000000000000000
Verandering in Werkkapitaal -47.7-57.52.544.3-32.1-13.2-180.722.89-0.856-2.569-42.828-65.587-47.815-63.401-31.7811.962-39.103-35.54773.105-29.481-33.291-11.77227.48637.335.61938.28-24.123-7.3015.975-11.05518.096-19.243-7.924
Vorderingen -82.5188.032-13.480.71.40000000000000000000000000000
Voorraden 191.2-101.1-186.118.7-61.4-18.4-14.6-23.80820.28715.74-40.516-54.341-19.087-97.00971.568-20.888-82.093-2.684-5.501-10.498-35.00427.85-17.87522.89323.14915.7789.635-5.343-5.441-11.6594.291-7.4220.368
Crediteuren 000000000000000000000000000000000
Overig Werkkapitaal -238.943.6188.625.629.35.2-166.146.698-21.143-18.309-2.312-11.246-28.72833.608-103.34922.8542.99-32.86378.606-18.9831.713-39.62245.36114.437-17.5322.502-33.758-1.95811.4160.60413.805-11.821-8.292
Overige Niet-Contante Posten -34.8-62.333.932.753.4-43.439.831.41939.12730.35111.11614.232-55.129-64.315-99.147-61.604-25.821-32.849-39.513-20.206-37.947-53.902-62.376-95.776-110.052-162.369-102.448-31.541-25.653-29.325-20.742-17.729-13.211
Kasstroom uit Operationele Activiteiten 427.8298.3251.1277.4212.5275.191.1322.909276.712173.648107.73773.046102.91969.64668.69390.08262.09634.782136.88167.05342.30575.986112.18179.25734.59568.8849.15145.61461.74533.43754.75513.58917.644
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -74.2-68.9-77.5-64.2-76.3-62.6-72.5-89.482-123.59-115.485-106.44-70.012-48.885-35.964-51.187-84.507-51.662-38.085-46.979-60.946-41.741-35.018-43.765-52.502-116.894-80.867-70.889-45.957-26.903-30.609-23.661-22.052-19.543
Netto Overnames 51.5253.5-95-28.5-106.7-354.943-14.66-161.368-139.1820-20.87-115.398-0.644-1.283-229.369-17.742-67.823-19.51373.12-1.056-8.141-16.44513.885142.94218.065-27.784-2.837-13.956-17.153-18.615-38.652-5.268
Aankoop van Beleggingen 00-0.1-0.1-0.4-0.3000-0.82106.879000.4332.627-2-3.406-5.214-55.2112.6290000000000-0.703-0.511
Verkoop/verval van Beleggingen 00.41.10.30.57.90000.3341.7520.5232.283024.8852.5137.43322.18514.3940-2.4110.7051.7634.963000000000
Overige Investeringsactiviteiten 106.7-8.324.233.135.815.115.5-0.00915.22114.56726.565131.93918.31539.145-21.50812.12812.93762.4875.0881.9827.3326.3773.2837.76327.07824.2675.9243.2841.7987.7781.041.4850.926
Kasstroom uit Investeringsactiviteiten 84176.7-147.3-59.4-147.1-394.8-14-104.151-269.737-240.587-78.12348.459-143.6852.537-48.66-296.608-51.034-24.642-52.224-41.055-35.246-26.077-55.164-25.89153.126-38.535-92.749-45.51-39.061-39.984-41.236-59.922-24.396
Financieringsactiviteiten:
Schuldaflossingen -271.6-780.8-383.4-1,222-599.9-130.5-60.7-154.5010-137.309-162.921-44.646-160.7800-187.156-84.0560-20.242-8.513-34.578-76.658-46.425-46.033-142.36300-89.523-6.69500-3.8180
Uitgifte van Gewone Aandelen 120.900.200000.0230.6420.7311.9021.1331.2210.52200.360.1670.3122.9220.215000001.0620.09871.3960.0010.0040.0410.07530.522
Terugkoop van Gewone Aandelen -148.1-196.9-94-17.6-7.6-4.3-16.2-10.413-13.351-47.043-7.387-7.692-2.07500-1.665-0.0950-1.449-0.612000-13.62200-12.184000000
Uitgekeerde Dividenden -97.2-88.9-91.144-95.388-85.326-86.937-49.188-39.084-36.69-34.706-37.861-33.495-22.942-20.453-19.484-18.502-17.334-16.472-15.612-14.8140000000000000
Overige Financieringsactiviteiten -0.3671.9439.41,038606.2370.4-2.2-1.24890.682276.71-0.3070.356226.03722.14220.527383.9670.445163.9680.765-9.674-0.982-1.013-0.9632.344-0.68715.87749.9755.4320.6274.17528.3071.46826.469
Kasstroom uit Financieringsactiviteiten -396.3-390.2-118.3-280.2-75.6159.6-120.1-203.30244.07862.338-196.642-76.17641.4612.2111.043177.004-100.873147.808-33.616-33.398-35.56-77.671-47.388-57.311-143.0516.93937.889-12.695-6.0674.17928.348-2.27556.991
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -3.70.213-10.93.43.7-12.22.6367.7028.712-2.285-1.131.5771.918-0.8592.275-9.681-3.0421.739-0.75002.1841.2670001.063-0.888-1.7550.4990.0920
Netto Kasstroomverandering 112.385.92.9-73.1-1143.6-55.218.09258.7554.111-169.31344.1992.27276.31220.217-27.247-99.492154.90652.78-8.15-28.501-27.76211.813-2.678-55.32947.284-5.709-11.52815.729-4.12342.366-48.51650.239
Kaspositie aan het Einde van de Periode 304.8180.494.591.6164.7175.7132.1187.217169.125110.37106.259275.572184.726232.041159.345127.669184.147265.036104.39748.11616.55489.836122.39110.538113.102153.33108.67271.37482.90267.17356.1513.78462.3