Greenyard NV

EBR:GREEN.BR

5.12 (EUR) • At close February 19, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 137.66484.359119.35798.50481.25132.70967.8857.432113.242137.94920.50615.02321.81554.9937.98820.40930.2126.9631.571.4761.813
Kortetermijnbeleggingen 0.8510.2880.4550.3220.5192.2260.1030.1030.5284.7710.355-0.072000000.08600.0030
Liquide middelen en kortetermijnbeleggingen 137.66484.359119.81298.82681.769134.93567.99657.535113.936144.2120.86115.02321.81554.9937.98820.40930.2127.0491.571.4791.813
Nettovorderingen 236.844245.988158.375165.709218.65275.25215.363230.933221.553291.06660.44677.88278.44860.46845.25558.70967.3310-0.0818.60732.579
Voorraad 454.497406.07375.382341.197309.447261.867271.638312.469296.283293.667233.964224.905200.516112.566122.152114.77892.97533.45828.16235.44460.139
Overige vlottende activa 11.5425.08581.07774.27177.6328.061198.558101.30878.6269.87920.4126.132301.863.9123.0524.0335.4760.97528.34127.2120.77
Totaal vlottende activa 840.545761.502734.205679.697686.991700.113753.555702.245725.454800.326335.683323.942603.2231.936208.447200.632195.99472.95458.07368.38995.301
Niet-vlottende activa:
Materiële vaste activa, netto 527.049519.268525.472525.036549.024549.97350.572419.512375.952380.866255.726238.457131.449131.12134.661139.199141.177118.65853.17242.83647.673
Goodwill 477.504477.504477.504477.504477.504477.5477.247633.852591.923589.87510.3410.25910.23352.83252.77352.68752.4370000
Immateriële activa 165.725172.261654.803661.852676.301687.015221.23252.706238.541249.70321.43323.11724.3224.2064.4835.5566.6270.8210.2650.460.518
Goodwill en immateriële activa 643.229649.7651,132.3071,139.3561,153.8051,164.515698.477886.558830.464839.57831.77333.37634.55557.03857.25658.24359.0640.8210.2650.460.518
Langetermijnbeleggingen 11.42216.83925.8088.44910.2499.8759.8389.4669.1587.3280.0050.1110000.11800.287000
Belastingvorderingen 24.83427.39358.34837.37138.28932.51738.34856.34372.29762.2256.6998.88810.708000.9970.350.35000
Overige niet-vlottende activa 0.7351.293-476.14-476.152-475.997-475.125-38.348-56.343-72.297-62.225-6.699-0.0014.0760.1430.1170.6110.818-59.980.6481.3781.649
Totaal niet-vlottende activa 1,207.2691,214.5581,265.7951,234.061,275.371,281.7521,058.8871,315.5361,215.5741,227.772287.504280.831180.788188.301192.034199.168201.40960.13654.08544.67449.84
Totaal activa 2,047.8131,976.062,0001,913.7571,962.3611,981.8651,857.3542,063.6221,990.6732,086.488629.948604.775783.988420.237400.481399.8397.403133.09112.158113.063145.141
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 828.499758.241691.807637.801649.628592.821553.183691.164643.707616.5493.08693.352138.23116.67999.42991.13885.10636.68526.70527.6373.601
Kortlopende schulden 99.98767.41560.36774.014160.627104.339520.04960.1588.71274.05673.33348.03190.30965.16111.60957.2273.13332.53934.93633.41146.272
Belastingschulden 18.43315.33721.47722.19936.04423.1519.69320.43625.97725.1239.7676.4455.0626.7636.44612.25616.5010.6810.7140.8090
Uitgestelde opbrengsten 0021.47722.19936.04423.15-520-59.983-8.409-72.687-72.89329.857014.94018.884140.64503.96900
Overige kortlopende verplichtingen 100.976106.34397.67957.09654.764.68698.658103.07388.312107.61323.34522.797195.838.03657.848.234131.1940.443-0.7143.78739.757
Totaal kortlopende verplichtingen 1,047.895947.336871.33813.309937.043808.1461,191.583874.831766.708823.332200.517171.241529.431196.78175.701168.855235.93470.34865.6165.64489.63
Langlopende verplichtingen:
Langetermijnschulden 491.841491.149552.344553.222488.61680.996117.563401.034413.385450.281181.411192.77241.25656.03168.91775.8483.5496.3049.69918.05424.778
Uitgestelde opbrengsten niet-vlottend 00200.81202.612206.949208.78249.212323.743315.359356.317158.3883.1726.81646.86460.7240.2540.5088.5040.3450.0210.026
Uitgestelde belastingverplichtingen niet-vlottend 24.62221.12264.29546.65652.49658.26768.16178.14597.17697.50823.02325.65324.30227.42929.40641.28741.7947.6356.0260.3090.469
Overige niet-vlottende verplichtingen 29.82826.88125.99447.46533.09586.61580.32637.107104.33438.4293.1670.0010.0021.2831.3090.2543.0152.22.896-0.937.625
Totaal niet-vlottende verplichtingen 546.291539.152642.633631.124574.201767.611117.373401.888412.535453.825181.411221.59872.37684.74399.632117.38948.86616.13918.96622.51432.898
Totaal passiva 1,594.1861,486.4881,513.9631,444.4331,511.2441,575.7571,389.4721,354.4041,284.4271,358.196408.118392.839601.807281.523275.333286.244284.886.48784.57688.158122.528
Eigen vermogen:
Preferente aandelen 0000009.61412.6077.1069.9842.2560000000000
Gewone aandelen 337.692337.692337.692337.692337.696288.392288.392288.392288.392288.39297.84597.845154.344111.013101.028101.028101.02848.22935.7537.11722.117
Ingehouden winsten -183.646-151.706-160.586-167.481-184.787-186.035-118.357132.069111.925120.271103.8670000000000
Overige gereserveerde algehele resultaten 0-4.8332.156-5.575-12.449-6.436-9.614-12.607-7.106-9.984-2.256-85.051-74.262-70.666-52.356000000
Overige totale aandeelhoudersvermogen 280.902291.189290.923290.059295.443295.443295.443287.843287.234307.89811.66621.32125.53618.83618.83610.8328.1-2.665-8.168-13.6720.496
Totaal eigen vermogen van aandeelhouders 434.948472.342470.187454.695435.903391.364455.864695.697694.656716.574213.765202.194179.88136.754123.129110.164108.87746.60327.58223.71522.613
Totaal eigen vermogen 453.627489.572486.037469.324451.117406.108467.882709.218706.246728.292221.83211.936182.181138.714125.148111.86110.7446.60327.58224.90522.613
Totaal passiva en aandeelhoudersvermogen 2,047.8131,976.062,0001,913.7571,962.3611,981.8651,878.9982,100.3352,040.3912,137.842629.948604.775783.988420.237400.481399.8397.403133.09112.158113.063145.141