Hexagon Composites ASA

OSE:HEX.OL

26.08 (NOK) • At close November 17, 2023
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 154.35713.547600.2091,641.116169.341138.531171.605208.07387.805202.179248.47680.32216.2049.02846.5639.9386.98410.74810.20425.909
Kortetermijnbeleggingen 0-73.7010-78.829-44.8590.367-0.383-1.326000-0.717-0.542-0.35-0.33400000
Liquide middelen en kortetermijnbeleggingen 154.35713.547600.2091,641.116169.341138.531171.605208.07387.805202.179248.47680.32216.2049.02846.5639.9386.98410.74810.20425.909
Nettovorderingen 551.3561,025.5651,028.623585.868490.2260.1490.173174.907227.032242.313141.324150.786172.027241.705176.239156.305126.396149.22781.28552.962
Voorraad 1,110.4061,546.4971,147.004739.998783.669295.207242.351227.481332.358320.468218.925243.445196.779201.39195.397145.551128.076141.76165.04741.797
Overige vlottende activa 140.7638.09838.38166.01842.47223.93238.00426.78420.7558.2563.5724.49321.94321.21122.28220.06921.3925.06916.41618.535
Totaal vlottende activa 1,956.8723,323.7072,814.2173,0331,485.708648.198652.062637.245667.95773.216612.297479.046406.953473.335340.481331.863282.846326.805172.952139.203
Niet-vlottende activa:
Materiële vaste activa, netto 1,313.5621,809.5381,292.9341,013.8191,087.916358.458260.55260.55409.994294.461229.132286.771264.502293.302286.201279.625256.824290.948138.468105.622
Goodwill 1,232.881,717.0971,572.7871,369.8581,374.881437.3401.433373.21352.52849.43246.39652.93600000000
Immateriële activa 552.726853.756811.737664.497698.413163.561149.905157.62538.70134.4941.01945.734114.596127.786123.115110.47282.753160.1887.90864.108
Goodwill en immateriële activa 1,785.6062,570.8532,384.5242,034.3552,073.294600.861551.338530.83891.22983.92287.41598.67114.596127.786123.115110.47282.753160.1887.90864.108
Langetermijnbeleggingen 1,350.774194.77.02480.89545.51993.777919.152977.2891.6341.619194.6782.3042.9555.8496.43158.08705.0910.6790.401
Belastingvorderingen 46.427-194.713.6781.775130.95914.6837.63917.6447.77923.16320.30219.7685.6487.2611.88925.45519.37417.68612.64619.937
Overige niet-vlottende activa 2.269199.6422.8691.0944.1330.3670.5571.282.2023.2333.1061.411.9520.5660.5310.64869.3990.001-0.0010.319
Totaal niet-vlottende activa 4,498.6384,580.0333,701.0293,131.9383,341.8121,968.1461,739.2361,787.601512.838406.398534.633408.923389.653434.764418.167474.287428.35473.906239.7190.387
Totaal activa 6,455.517,903.7436,515.2466,164.9384,827.5192,616.3432,391.2982,424.8461,180.7871,179.6131,146.929887.97796.606908.099758.648806.15711.196800.711412.652329.59
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 384.015572.569392.747290.371307.237202.653151.13185.943170.89188.027149.393171.318152.1212.893128.602192.791113.375172.7872.26551.726
Kortlopende schulden 1,170.335305.24976.08745.14650.565.76919.49414.09510.71900.02732.89244.19996.95131.90560.18443.29477.29631.79221.647
Belastingschulden 65.83253.05747.201205.49253.87636.14341.96612.677029.5518.00308.33813.9012.6630.6021.3430.2700
Uitgestelde opbrengsten 332.658594.42711.756603.47194.5436.14341.966154.6810099.74708.33813.9012.6630.6021.3430.2700
Overige kortlopende verplichtingen 798.59528.0420.0020.005391.69193.931174.4590.002121.635170.6640.00174.3525.7285.3633.6312.683.3654.3156.2076.6
Totaal kortlopende verplichtingen 2,685.5982,000.281,180.592938.993844.027438.496387.049354.721303.244358.691249.168278.562210.365329.108166.801256.257161.377254.661110.26479.973
Langlopende verplichtingen:
Langetermijnschulden 387.261,963.1581,396.3331,436.6861,544.986516.163367.403431.682382.868297.243448.477324.566307.021307.251309.898311.825321.065299.21588.357.165
Uitgestelde opbrengsten niet-vlottend 0043.4907.23200107.9865.61210.70886.4529.91505.4540022.474000
Uitgestelde belastingverplichtingen niet-vlottend 131.018206.37247.16187.359278.28119.923108.892197.28918.92525.86314.26815.44111.412.7079.6993.9232.393000
Overige niet-vlottende verplichtingen 10.185265.128163.376.0610.0011.698115.513-0.0020.0020.0010.002-0.0012.922-0.00114.3533.2760.00140.46611.70712.175
Totaal niet-vlottende verplichtingen 528.4632,434.6561,850.3531,630.1061,830.499637.784591.808736.955407.407333.815549.199349.921321.343325.411333.947349.024345.933339.681100.00769.34
Totaal passiva 3,214.0614,434.9363,030.9452,569.0992,674.5261,076.28978.8571,091.676710.651692.506798.367628.483531.708654.519500.748605.281507.31594.342210.271149.313
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 20.16220.16220.16220.16218.32916.66316.66316.66313.32913.32913.32913.32913.32913.32913.32913.32913.28715.8815.77715.712
Ingehouden winsten 0000000000244.7820161.283150.39980.54124.75530.88645.2445.16425.238
Overige gereserveerde algehele resultaten 270.893763.4631,010.2151,087.963931.716-526.684-456.058-415.895-504.527-434.046-355.501-332.124-336.481-301.325-241.01500000
Overige totale aandeelhoudersvermogen 2,950.3952,208.2812,075.9142,075.8151,202.9482,050.0841,851.8361,732.401961.334907.824445.952578.282426.767391.177405.045162.785159.713145.249141.44139.327
Totaal eigen vermogen van aandeelhouders 3,241.452,991.9063,106.2913,183.942,152.9931,540.0631,412.4411,333.169470.136487.107348.562259.487264.898253.58257.9200.869203.886206.369202.381180.277
Totaal eigen vermogen 3,241.453,468.8073,484.3013,595.8392,152.9931,540.0631,412.4411,333.169470.136487.107348.562259.487264.898253.58257.9200.869203.886206.369202.381180.277
Totaal passiva en aandeelhoudersvermogen 6,455.517,903.7436,515.2466,164.9384,827.5192,616.3432,391.2982,424.8451,180.7871,179.6131,146.929887.97796.606908.099758.648806.15711.196800.711412.652329.59