Gerresheimer AG

FSX:GXI.DE

101.8 (EUR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 122.339112.789114.05187.9585.83180.57287.036118.39193.66867.93673.09286.087131.43260.54656.13794.36880.26624.91828.866
Kortetermijnbeleggingen 14.41212.04519.72912.77315.22916.25115.94410.44110.542.5872.8415.3252.2540.2480.3440579.07700
Liquide middelen en kortetermijnbeleggingen 136.751124.834133.78100.723101.0696.821302.98128.832104.20870.52375.93391.412133.68660.79456.48194.36880.26624.91828.866
Nettovorderingen 376.189370.404263.862258.628256.261304.097260.253255.854245.468239.143224.575179.439000166.172148.32300
Voorraad 323.343304.38235.449186.561181.407166.771146.295152.38180.213185.877180.474188.957159.9138.37122.437154.063138.53494.02992.03
Overige vlottende activa 13.29110.51924.095.4556.1074.1695.6845.6397.5686.6296.033204.173184.878165.365156.65842.42919.256114.877104.225
Totaal vlottende activa 849.574810.137657.181551.367544.835571.858715.212542.705537.457502.172487.015484.542478.464364.529335.576457.032386.379233.824225.121
Niet-vlottende activa:
Materiële vaste activa, netto 1,268.541,060.915904.324763.101701.937620.728602.577610.169604.605579.144538.31518.336478.83469.845461.292481.82426.27468.10259.804
Goodwill 670.121684.842656.23642.31672.158670.587656.783687.75701.476454.972455.586427.5260000000
Immateriële activa 592.876632.56632.527632.089685.016835.092444.446506.152551.032102.625116.91497.369527.023487.271502.087538.452000
Goodwill en immateriële activa 1,262.9971,317.4021,288.7571,274.3991,357.1741,505.6791,101.2291,193.9021,252.508557.597572.5529.695527.023487.271502.087538.452564.924369.013358.205
Langetermijnbeleggingen 15.23614.802-8.958-9.697-11.148-15.554-15.464-9.889-9.946-1.674-1.8738.11113.27819.576.0110-564.92400
Belastingvorderingen 7.2536.486.34812.80517.06619.49511.0313.578.0857.2827.5867.26910.75212.81617.24944.17946.78400
Overige niet-vlottende activa 25.539144.55729.81624.59831.37528.70829.51323.79927.21811.40812.2319.7966.7253.79218.39316.798582.587270.119240.122
Totaal niet-vlottende activa 2,579.5652,544.1562,220.2872,065.2062,096.4042,159.0561,728.8851,831.5511,882.471,153.7571,128.7541,073.2071,036.608993.2941,005.0321,081.2491,055.645707.234658.131
Totaal activa 3,429.1393,354.2932,877.4682,616.5732,641.2392,730.9142,444.0972,374.2562,419.9271,655.9291,615.7691,557.7491,515.0721,357.8231,340.6081,538.2811,442.024-20.8264.624
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 387.283356.789284.253211.619221.454207.282176.303156.996160.94125.483127.042154.301119.215111.089103.721137.858146.70500
Kortlopende schulden 382.813535.717438.409209.443526.89287.354316.169173.75239.885114.38491.98244.112000060.13800
Belastingschulden 35.35635.87720.76222.07215.75514.5519.70135.00767.51731.87630.24712.67413.9912.4978.14115.1313.1842.0564.912
Uitgestelde opbrengsten 100.87124.479148.596152.112137.25514.55175.108204.861262.376211.79210.38870.62300003.18400
Overige kortlopende verplichtingen 86.999184.44614.5236.2855.197259.1655.7635.4545.9914.1534.14395.128213.782225.647235.054278.58162.28600
Totaal kortlopende verplichtingen 957.9661,101.431885.781579.459890.796768.351673.343541.061669.192455.81433.555364.164332.997336.736338.775416.439272.31300
Langlopende verplichtingen:
Langetermijnschulden 658.495685.278695.274835.841489.169677.709681.19729.728726.941370.822384.047418.9250000415.81300
Uitgestelde opbrengsten niet-vlottend 94.62619.4821.6152.4581.4710.420.845182.341178.8770.034186.377136.7420000-415.81300
Uitgestelde belastingverplichtingen niet-vlottend 113.818162.831128.72131.38142.436167.862143.539157.633146.50932.58846.65256.05248.20246.12851.76979.83388.00700
Overige niet-vlottende verplichtingen 131.867115.896163.873167.771175.81226.439155.6550.1980.277192.3031.7331.709581.643445.562469.817562.917576.64600
Totaal niet-vlottende verplichtingen 998.806983.487989.4821,137.45808.8861,072.43981.2291,069.91,052.604595.747618.809613.428629.845491.69521.586642.75664.65300
Totaal passiva 1,956.7722,084.9181,875.2631,716.9091,699.6821,840.7811,654.5721,610.9611,721.7961,051.5571,052.364977.592962.842828.426860.3611,059.189936.96605.902
Eigen vermogen:
Preferente aandelen 48.518090.104135.1547.56300000000000000
Gewone aandelen 34.5431.431.431.431.431.431.431.431.431.431.431.431.431.431.431.431.400
Ingehouden winsten 681.163614.476526.198473.756427.439394.578278.862207.413113.15230.108-6.512-0.634-34.748-69.566-112.789-105.984-93.369-26.94-55.658
Overige gereserveerde algehele resultaten -48.51883.216-90.104-135.15-47.563-648.111-566.456-539.936-525.935-503.519-431.93-389.988-344.72-279.16100000
Overige totale aandeelhoudersvermogen 729.957513.827423.723378.677466.2641,094.7931,009.2571,027.281,007.788985.428912.927894.359859.715805.955524.836508.708528.0541.08847.2
Totaal eigen vermogen van aandeelhouders 1,445.661,242.919981.321883.833925.103872.66753.063726.157626.405543.417505.885535.137511.647488.628443.447434.124466.085-25.852-8.458
Totaal eigen vermogen 1,472.3671,269.3751,002.205899.664941.557890.133789.525763.295698.131604.372563.405580.157552.23529.397480.247479.092505.058-15.556-1.278
Totaal passiva en aandeelhoudersvermogen 3,429.1393,354.2932,877.4682,616.5732,641.2392,730.9142,444.0972,374.2562,419.9271,655.9291,615.7691,557.7491,515.0721,357.8231,340.6081,538.2811,442.024-20.8264.624