Implenia AG

SIX:IMPN.SW

31.15 (CHF) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 478.809608.775621.913719.99912.317913.233985.443791.703877.108731.534582.581500.727402.532349.274128.749118.36447.153107.34699.437
Kortetermijnbeleggingen 00.265174.98224.84327.8339.06951.9161.8610.4560.0960.1110.2180.5160.3461.0420005.43
Liquide middelen en kortetermijnbeleggingen 478.809609.04796.895719.99912.317913.233985.443793.564877.564731.63582.692500.945403.048349.62129.791118.36447.153107.346104.867
Nettovorderingen 992.436974.4031,021.596992.0421,018.4148538521,018.568994.764844.679839.892277.42500429.712437.084464.29200
Voorraad 77.835223.834228.13223.957669.991616.764518.866549.958543.697557.474569.426518.856490.543468.717267.59245.686240.904355.555199.553
Overige vlottende activa 181.0071,001.716185.346151.973215.467-279.443-221.111721.103720.215654.856630.233275.867576.047483.15197.157194.863210.249439.949238.45
Totaal vlottende activa 1,730.0871,834.592,082.6981,950.8322,226.6362,142.6232,187.1142,064.6252,141.4761,943.961,782.3511,573.0931,469.6381,301.4871,024.25995.997962.598902.85542.87
Niet-vlottende activa:
Materiële vaste activa, netto 441.699411.167368.385428.508433.543301.688291.86288.869296.293245.611245.291232.387225.365221.053222.574227.05231.097212.812101.244
Goodwill 317.98229.494238.644251.823295.153303.412312.786175.3170.43283.37784.73387.18285.69769.19300077.5574.834
Immateriële activa 100.6411.12114.714.8539.224.63319.52814.75124.8154.475.9675.5084.9774.1375.269083.13715.8590.695
Goodwill en immateriële activa 418.62240.615253.344266.676304.373308.045332.314190.051195.24787.84790.792.6990.67473.32375.269083.13793.4165.529
Langetermijnbeleggingen 226.015209.92332.484186.58734.40923.6617.91458.61467.6855.29652.66957.98556.41748.86750.98700013.113
Belastingvorderingen 88.67651.09970.08479.55736.98826.1813.2631.5326.5930.4240.0310.1950.7141.612.4950.9532.5884.9534.627
Overige niet-vlottende activa 0.4446.032180.84131.05147.31459.15774.52925.48618.18824.52125.33252.70444.89530.6636.219138.70662.44871.43526.794
Totaal niet-vlottende activa 1,175.454918.836905.138992.379856.627718.732709.88564.552584.001413.699414.023435.961418.065375.516357.544366.709379.27382.616151.307
Totaal activa 2,905.5412,753.4262,987.8362,943.2113,083.2632,861.3552,896.9942,629.1772,725.4772,357.6592,196.3742,009.0541,887.7031,677.0031,381.7941,362.7061,341.8681,285.466694.177
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 744.957625.713679.361935.416367.942370.602372.606415.098393.782368.702362.654219.878272.537217.347240.579240.353217.5134.0339.21
Kortlopende schulden 248.20172.66236.513126.6648.24721.7393.9351.743203.453.3063.5444.5113.7951.60500158.64581.0960.044
Belastingschulden 14.13922.37715.61311.67925.47926.742.08839.92938.60942.1837.74240.79130.01818.4957.0073.6263.05935.54121.719
Uitgestelde opbrengsten 409.968454.392518.22324.303247.157199.978218.843199.109226.898195.558202.578167.286160.402142.4530082.394140.27996.623
Overige kortlopende verplichtingen 334.261447.246454.994528.6251,133.6781,079.2141,021.908825.096835.661753.489707.632718.474610.865543.781673.28665.706451.793511.434325.565
Totaal kortlopende verplichtingen 1,737.3871,600.0111,889.0881,915.0041,797.0241,671.5331,617.2921,441.0461,659.7911,321.0551,276.4081,110.1491,047.599905.186913.859906.059910.332866.839461.442
Langlopende verplichtingen:
Langetermijnschulden 228.907432.381509.468489.545591.506494.283492.995413.663285.552326.751207.968208.384205.278198.155005.7815.7181.491
Uitgestelde opbrengsten niet-vlottend 158.31-432.381-509.468-489.5450-151.251-178.71238.98467.84924.02224.8123.33326.261-27.153001.46517.5070.205
Uitgestelde belastingverplichtingen niet-vlottend 82.85954.03657.32849.15148.70649.30962.25868.07886.60954.14256.30960.84957.74247.9530.29919.75514.66611.69123.195
Overige niet-vlottende verplichtingen 122.303616.709695.502676.02955.558212.306248.2521.91.91.92.1916.9537.29557.38111.29611.7644.7314.1921.286
Totaal niet-vlottende verplichtingen 592.379670.745752.83725.18695.77604.647624.793522.625441.91406.815291.278299.519296.576276.33341.59531.51926.64249.10826.177
Totaal passiva 2,329.7662,270.7562,641.9182,640.1842,492.7942,276.182,242.0851,963.6712,101.7011,727.871,567.6861,409.6681,344.1751,181.519955.454937.578936.974915.947487.619
Eigen vermogen:
Preferente aandelen 000044.89800000000000000
Gewone aandelen 18.84118.84118.84118.84118.84118.84118.84118.84118.84118.84135.09735.09735.09751.722420.43773.88883.12489.58925.5
Ingehouden winsten 517.203104.75161.157-134.70229.651-5.05935.77959.81748.40569.23175.21569.08760.26451.470184.718160.398159.742162.057
Overige gereserveerde algehele resultaten 41.63165.24431.29229.513-44.898-264.527-444.874-405.224-396.967-232.858-219.605-220.645-203.12-193.264-204.2630000
Overige totale aandeelhoudersvermogen -9.382287.362222.666365.09514.197811.0421,023.402971.344935.182760.577712.138703.385640.634579.066210.166166.522151.91115.99617.715
Totaal eigen vermogen van aandeelhouders 568.293476.198333.956278.742562.689560.297633.148644.778605.461615.791602.845586.924532.875488.994426.34425.128395.432365.327205.272
Totaal eigen vermogen 575.775482.67345.918303.027590.469585.175654.909665.506623.776629.789628.688599.386543.528495.484426.34425.128400.163369.519206.558
Totaal passiva en aandeelhoudersvermogen 2,905.5412,753.4262,987.8362,943.2113,083.2632,861.3552,896.9942,629.1772,725.4772,357.6592,196.3742,009.0541,887.7031,677.0031,381.7941,362.7061,341.8681,285.466694.177