Orange Belgium S.A.

EBR:OBEL.BR

14.1 (EUR) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 47.735.89653.73560.81620.17526.59113.01251.4449.7097.60313.78112.2667.11912.95910.0096.8337.25568.03154.574106.7621.3071.022
Kortetermijnbeleggingen 0.0030.0010.4170.3610.3620.3620.4690.4521.113-0.551-0.55-3.7220000000000
Liquide middelen en kortetermijnbeleggingen 47.735.89754.15261.17720.53726.95313.48151.89610.8227.60313.78112.2667.11912.95910.0096.8337.25568.03154.574106.7621.3071.022
Nettovorderingen 324.5248.04266.44279.564306.21256255192.19204.353220.182241.507262.897257.062236.148233.731267.888218.947000133.247137.469
Voorraad 51.425.49324.02426.68531.95727.7124.9330.63221.47318.19620.66620.59416.50110.29910.07312.3213.9436.9925.84317.9979.74511.975
Overige vlottende activa 39.35.7525.7317.2775.0732.0252.0870.3950.223-2.5352.8015.46930.49623.7916.81715.32916.832214.912218.072185.33820.94446.858
Totaal vlottende activa 462.9315.182350.347374.703363.777326.92238.359275.113236.871243.446278.755301.226311.178283.196270.63302.37256.977289.935278.489310.097165.243197.324
Niet-vlottende activa:
Materiële vaste activa, netto 1,988.3904.931961.9341,011.3941,044.867772.306809.934829.971840.389761.294700.017665.011666635.927548.914529.526521.764491.175464.966418.06811.036864.274
Goodwill 751.267.04189.474104.411118.67467.04166.43880.0880.0880.0880.0880.0880.0880.13179.28779.28781.53210.55810.55810.59400
Immateriële activa 1,658.4784.626247.439249.978258.63285.262303.971320.789347.391345.204380.2286.595312.026294.779235.488273.05308.708325.297358.696377.37384.763394.222
Goodwill en immateriële activa 2,409.6851.667336.913354.389377.304352.303370.409400.869427.471425.284460.28366.675392.106374.91314.775352.337390.24335.855369.254387.964384.763394.222
Langetermijnbeleggingen 87.527.5627.3778.0676.5355.0945.2942.8653.8393.8837.1720000000000
Belastingvorderingen 6.81.6041.83.1432.5993.3311.26412.2638.3898.8296.7156.6696.4011.657.3034.8665.9440.6137.0869.28100
Overige niet-vlottende activa -75010.6471.1180.9881.0111.7721.1980.7071.3671.2170.2410.2425.8187.50111.45111.1826.4030.1950.1970.173-388.373-412.54
Totaal niet-vlottende activa 3,662.71,776.3691,309.3271,377.2911,433.8481,136.2461,197.8991,249.1041,280.4811,200.4631,171.1361,045.7691,070.3251,019.988882.443897.911924.351827.838841.503815.478807.426845.956
Totaal activa 4,125.62,091.5511,659.6721,751.9941,797.6251,463.1661,436.2581,524.2171,517.3521,443.9091,449.8911,346.9951,381.5031,303.1841,153.0731,200.2811,181.3281,117.7731,119.9921,125.575972.6691,043.28
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 283.2223.86258.822296.525313.995266.575212.562167.695169.815325.307352.088344.563347.635310.943266.385288.313279.982240.685274.016197.113142.731130.017
Kortlopende schulden 396.6150.3546.13246.74961.11520.8266.0660.2368.16545021.87922.5818.44432.893297.936243.2756.1032.4452.3837.01100
Belastingschulden 20.999.16586.14481.98182.19488.741117.476166.923157.116.32315.58542.709113.73783.24237.44129.50134.36526.75439.7478.8084.074.004
Uitgestelde opbrengsten 67.962.08258.557240.429244.16388.741268.89158.683388.02616.32315.58542.709113.73783.24237.44129.50134.36526.75439.7478.80800
Overige kortlopende verplichtingen 319.9409.1777.0813.62710.368153.85112.667299.80310.176104.394103.465114.871123.424113.56895.84394.92578.23570.13576.64690.948-142.731-130.017
Totaal kortlopende verplichtingen 1,067.6845.467570.59787.33629.641529.993500.186526.417576.182896.024493.017524.723603.24540.646697.605656.014398.685340.019392.792303.88142.731130.017
Langlopende verplichtingen:
Langetermijnschulden 1,924.7338.311377.06263.118489.609269.895319.615389.043409.00794.267548.75383.65293.2267.911075000249.379234.397414.43
Uitgestelde opbrengsten niet-vlottend 155.2080.72977.10676.13566.14269.13870.89362.225069.641089.916000000000
Uitgestelde belastingverplichtingen niet-vlottend 65.58.4134.5588.1717.5358.1312.4751.6872.0082.0841.30601.1761.6901.678000000
Overige niet-vlottende verplichtingen 248.1210.3782.5792.3442.611.8662.823.75910.82371.072-0.00180.823-0.00161.76714.64115.10614.61113.97910.9969.37100
Totaal niet-vlottende verplichtingen 2,393.5557.102464.926350.739575.889346.034394.048465.382484.063167.423619.696464.473384.291331.36814.64191.78414.61113.97910.996258.75234.397414.43
Totaal passiva 3,461.11,402.5691,035.5161,138.0691,205.53876.027894.234991.7991,060.2451,063.4471,112.713989.196987.531872.014712.246747.798413.296353.998403.788562.63972.6691,043.28
Eigen vermogen:
Preferente aandelen 0000000000000000000000
Gewone aandelen 131.7131.721131.721131.721131.721131.721131.721131.721131.721131.721131.721131.721131.721131.721109.18109.18357.13356.68437.158435.514431.939431.939
Ingehouden winsten 519.6544.089479.263470.551447.399442.246399.607387.804312.214235.529192.284212.905249.078286.276295.933307.589375.14371.617238.397108.07400
Overige gereserveerde algehele resultaten 13.213.17213.17213.17213.172-1,408.616-1,271.651-1,156.522-1,110.372-1,011.99-794.284-825.335-813.654-786.413-724.360000000
Overige totale aandeelhoudersvermogen 000-1.519-0.1971,421.7881,282.3471,169.4151,123.5441,025.202807.457838.508826.827799.586760.07435.71435.76235.47840.64919.357-136.086-363.481
Totaal eigen vermogen van aandeelhouders 664.5688.982624.156613.925592.095587.139542.024532.418457.107380.462337.178357.799393.972431.17440.827452.483768.032763.775716.204562.945295.85368.458
Totaal eigen vermogen 664.5688.982624.156613.925592.095587.139542.024532.418457.107380.462337.178357.799393.972431.17440.827452.483768.032763.775716.204562.945295.85368.458
Totaal passiva en aandeelhoudersvermogen 4,125.62,091.5511,659.6721,751.9941,797.6251,463.1661,436.2581,524.2171,517.3521,443.9091,449.8911,346.9951,381.5031,303.1841,153.0731,200.2811,181.3281,117.7731,119.9921,125.575972.6691,043.28