National Express Group PLC

OTC:NXPGF

0.69 (USD) • At close October 19, 2023
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 356.3291.8496.5520.5478.3117.5314.3318.160.483.740.972.892.5128.8105.8105.9157.2143.6145.5143.19793.792.353.810194.255.93039.55318.88215.73817.9220.0290.0212.689
Kortetermijnbeleggingen 170.2-165.70.11.53653.915.4132.4-26.5-17.60-55.5000-15.3000000000008.6000000
Liquide middelen en kortetermijnbeleggingen 356.3291.8496.5520.5478.3117.5314.3318.160.483.740.972.892.5128.8105.8105.9157.2143.6145.5143.19793.792.353.810194.255.93048.15318.88215.73817.9220.0290.0212.689
Nettovorderingen 369.1350.4252.4-110.8290.4246.6189164132.3105.6990269.20232.6335.5282.4300.500334.5355.10000000000000
Voorraad 33.732.428.82729.427.424.92522.521.821.219.318.817.616.424.42015.518.716.117.319.721.420.714.88.6952.520.2550.1590.9081.5252.2812.516
Overige vlottende activa 248.4273.2232.8462.3250.3189.6180223.6113.496.875.6214.8284.1248.5236.3339.5291.9326.9319.8335.6343.7359.8376.1327.1216.6137.6119.545.426.15515.18714.39510.42610.51410.23412.248
Totaal vlottende activa 989.3947.81,022.51,009.81,056.3585712.4739.1328.6307.9253.4300.2381.4394.9358.5469.8469.1486484494.8458473.2489.8401.6332.4240.4184.480.476.82834.32430.29229.25612.06812.53617.453
Niet-vlottende activa:
Materiële vaste activa, netto 1,164.51,175.31,129.61,233.21,348.21,054.8968.2983.6801.1729.9751.4787.4754.5714.1672.6841.5696.4501.9514.4333.5405.6420.5512.8653.6503.8293.8247.1213.1199.45870.92166.146.9846.06116.40619.89
Goodwill 1,310.71,356.21,506.71,525.41,486.51,460.61,317.61,264.91,019.11,013.31,042.91,037.9998.50000000000000000000000
Immateriële activa 241.1264.7271.8326.41,901.8336.9315.8283.7211.6164.1180.62251,212.51,284.21,349.91,519.61,206.9697.6766.3352.8404.6467.7508.3523.7242.69.1000000000
Goodwill en immateriële activa 1,545.61,620.91,778.51,851.81,901.81,797.51,633.41,548.61,230.71,177.41,223.51,262.91,212.51,284.21,349.91,519.61,206.9697.6766.3352.8404.6467.7508.3523.7242.69.1008.6000000
Langetermijnbeleggingen 26.3206.5193.9127.666.630.552.469.341.538.730.1069.700034.30007.325.326.427.3156.800-6.804000000
Belastingvorderingen 18.2185.5150.6140.531.842.741.448.331.129.9-30.1092.52.835.220157.210.62318.39793.792.353.810194.255.93039.55318.88215.73817.9220.0290.0212.689
Overige niet-vlottende activa 349.417.91616.93.615.243.74651.542.448.264.8-92.527.621.725.6-157.226.64340.7-97-93.7-92.3-53.8-101-94.2-53.5-22.1-39.553-18.649-15.473-17.8760.5580.511-2.283
Totaal niet-vlottende activa 3,085.83,206.13,268.63,3703,3522,940.72,739.12,695.82,155.92,018.32,023.12,115.12,036.72,028.72,079.42,406.71,937.61,236.71,346.7745.3817.5913.51,047.51,204.6761.4309.7249.5221201.25471.15466.4057.036.64816.93820.296
Totaal activa 4,075.14,153.94,291.14,379.84,408.33,525.73,451.53,434.92,484.52,326.22,276.52,415.32,418.12,423.62,437.92,876.52,406.71,722.71,830.71,240.11,275.51,386.71,537.31,606.21,093.8550.1433.9301.4278.082105.47896.69736.28618.71629.47437.749
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 298.9296.5206229320.9325.3258.5196.9182.3144.2129.7133.1168.6175.3187.3228.6218.8187.3174.8174.9160.1201.6169.2201.9118.898.596.137.518.13313.9911.1059.2326.82330.34634.261
Kortlopende schulden 282611.2303354.6649.2103179.9450.199.155.976.816954.894.8258.471.6415.743.6214.430.340.172.320.516616.315.313.91026.2965.646.5234.613000
Belastingschulden 48.94.232.28.88.411.66.716.123.322.919.919.712.156.832.524.740.92436.833.14715.128.3423527.219.816.0275.9944.9063.019000
Uitgestelde opbrengsten 0114.3169.890.512.987.232.9103.375.793.351.950.200000000404.8385.70000000000000
Overige kortlopende verplichtingen 731.9686.3694.5548.8834.4580.8476.7540.8399.8342.6251.8247338.9351.6378.3454.5417.7354.9383.3369.9371.9338.8405.8354.9217.8125.2108.554.250.4417.7714.1469.378000
Totaal kortlopende verplichtingen 1,361.71,598.21,206.51,134.61,813.31,017.5926.71,194.5697.3566481.2569582633.8880.8787.21,076.9626.7796.5611.9605.2659.7610.6751.1394.9274245.7121.5110.89643.39436.6826.2426.82330.34634.261
Langlopende verplichtingen:
Langetermijnschulden 1,297.6903.91,294.31,3131,0911,029.31,058816.7752.3741.8750.7786.8718.4674.4506.11,215652.3538.4495.5251.8346356386.8444.4400.643.82423.151.03215.65617.7661.518000
Uitgestelde opbrengsten niet-vlottend 098.864.151.333.93.22.83.33.53.44.733.70000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 026.939.240.756.4636082.953.86675.184.895.286.999124.9158.184.381.94.56.810.716.5000000000000
Overige niet-vlottende verplichtingen 342.4261.1238.8456.2391.5281.7300.4298.2203.8182.267.569.353.488.7109.716482.4127.8144.5105.153.397.7121.333.431.320.418.110.810.1442.9624.2880.9722.9343.9766.415
Totaal niet-vlottende verplichtingen 1,6401,1651,636.41,769.21,482.51,3111,358.41,114.9956.1924898943.9870.7850714.81,503.9892.8750.5721.9361.4406.1464.4524.6477.8431.964.242.133.961.17618.61822.0542.492.9343.9766.415
Totaal passiva 3,009.12,763.22,842.92,903.83,295.82,328.52,285.12,309.41,653.41,4901,379.21,512.91,452.71,483.81,595.62,291.11,969.71,377.21,518.4973.31,011.31,124.11,135.21,228.9826.8338.2287.8155.4172.07262.01258.73428.7329.75734.32240.676
Eigen vermogen:
Preferente aandelen 0000000095.332.60000000000000000000000900
Gewone aandelen 30.730.730.730.725.625.625.625.625.625.625.625.625.625.625.67.77.77.77.576.86.76.66.55.85.75.654.7922.0012.0011.80110.2630.263
Ingehouden winsten -435.5-207.4-45.89.6391.4426.6410.9362345.6299.3282.4290.7313.1263.7175.8257.2215.8153.3108.1203.2196.5189.6330233.6185.914085.263.733.68615.6318.8915.5361.9944.8576.778
Overige gereserveerde algehele resultaten 910.6755.2657.5625.9115.3181166.4178.9-95.3-32.646.7000000000000000000000000
Overige totale aandeelhoudersvermogen 530546.6501.4530.1526.7525.7526.7524.9524.9531.2578.6576.6618.8643.9634.9314.4209.6181.2193.855.756.261.560.2132.771.166.255.377.367.53225.83427.0710.219-32.035-9.968-9.968
Totaal eigen vermogen van aandeelhouders 1,035.81,347.71,407.11,435.81,074.41,174.31,1451,106.8816.2823.5886.6892.9957.5933.2836.3579.3433.1342.2309.4265.9259.5257.8396.8372.8262.8211.9146.1146106.0143.46637.9637.556-20.041-4.848-2.927
Totaal eigen vermogen 1,0661,390.71,448.21,4761,112.51,197.21,166.41,125.5831.1836.2897.3902.4965.4939.8842.3585.4437345.5312.3266.8264.2262.6402.1377.3267211.9146.1146106.0143.46637.9637.556-20.041-4.848-2.927
Totaal passiva en aandeelhoudersvermogen 4,075.14,153.94,291.14,379.84,408.33,525.73,451.53,434.92,484.52,326.22,276.52,415.32,418.12,423.62,437.92,876.52,406.71,722.71,830.71,240.11,275.51,386.71,537.31,606.21,093.8550.1433.9301.4278.082105.47896.69736.28618.71629.47437.749