Orascom Development Holding AG

SIX:ODHN.SW

5.38 (CHF) • At close June 2, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 195.994213.85180.571207.254195.973186.201139.102100.1181.176168.232100.98473.586101.95479.399276.45377.899177.14588.254337.571141.237
Kortetermijnbeleggingen 1.127158.4670.8611.737-100.147-66.676-39.243-45.579-47.9513.5443.66308.249-178.4320003.88800
Liquide middelen en kortetermijnbeleggingen 197.121213.85181.431218.99195.973186.201139.102100.1181.176171.776104.64773.586110.20379.399276.45377.899177.14592.142337.571141.237
Nettovorderingen 189.35867.21169.73166.25133.77964.90771.83435.71484.1420096.6610217.492248.776249.097210.032144.5090720.858
Voorraad 348.449434.612437.026595.291539.149516.395118.524127.583124.96191.29305.637357.317499.127478.155260.176202.619174.90587.417171.415104.051
Overige vlottende activa 105.955187.07183.147201.284160.78156.771154.065208.953182.711205.172243.646257.247185.87228.00225.06623.38716.90916.243106.33719.289
Totaal vlottende activa 840.883902.744871.0621,081.561924.965924.066482.691471.705388.847568.238653.93711.439795.203827.831849.022611.298641.761416.1471,497.64985.436
Niet-vlottende activa:
Materiële vaste activa, netto 663.74723.603742.496797.829743.665814.451761.82765.121762.597940.356886.76766.9921,002.982969.362926.0781,010.775856.492682.622,153.3451,662.762
Goodwill 0.9121.3921.9082.9742.8633.0822.8112.832.8936.4777.1096.5537.3327.9518.20930.43233.368042.78342.626
Immateriële activa 00000000000000000000
Goodwill en immateriële activa 0.9121.3921.9082.9742.8633.0822.8112.832.8936.4777.1096.5537.3327.9518.20930.43233.36833.10342.78342.626
Langetermijnbeleggingen 43.59649.01150.48827.632145.81596.90383.663107.079130.019102.784117.135129.45964.923237.3900036.58700
Belastingvorderingen 22.86812.29913.5261.5982.1042.3524.8911.0080.99312.69316.02515.67930.99930.68217.31900-33.10300
Overige niet-vlottende activa 154.573158.467144.569153.61300000178.065100.07142.597181.15510292.81211.595128.12836.99131.183189.818
Totaal niet-vlottende activa 885.688944.773952.987983.647894.447916.789853.185876.038896.5021,240.3751,127.1961.2811,287.391,255.3851,244.4161,252.8021,017.988756.1972,227.3121,895.206
Totaal activa 1,726.571,847.5161,824.0492,065.2081,819.4121,840.8551,335.8751,347.7431,285.3491,808.6131,781.031,672.722,082.5932,083.2162,093.4381,864.11,659.7491,172.3453,724.9522,880.642
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 36.66735.05636.09260.29949.00639.47928.52739.57424.69129.91436.92330.12549.98457.63157.121102.2264.0633.72115.716778.021
Kortlopende schulden 70.737195.54851.09134.86528.95659.223-52.144262.782231.937282.275273.893197.906333.059281.858240.936226.792222.072119.614580.994307.157
Belastingschulden 52.98641.09549.09656.85228.78927.92733.45713.1478.60813.04714.74110.23414.2236.13315.97610.8738.3696.40400
Uitgestelde opbrengsten 0166.231122.031333.676218.36187.09433.457254.006214.019203.774220.402320.822332.454102.03875.3757.15649.27516.06100
Overige kortlopende verplichtingen 536.304295.988355.739323.362241.289198.82226.179255.131193.713240.912305.504390.711337.916299.677225.672200.713204.405141.447-281.647121.929
Totaal kortlopende verplichtingen 696.695733.918614.05625.68456.97404.246393.609640.406520.894566.149631.061628.976735.183645.299539.705540.598498.906304.3351,577.9951,207.107
Langlopende verplichtingen:
Langetermijnschulden 405.507311.887445.642440.107431.999407.316334.216111.966137.631224.752257.785213.948283.065274.17296.474174.805174.438138.9536.385437.189
Uitgestelde opbrengsten niet-vlottend 28.71443.82760.193.65890.1597.055000000031.71835.92271.47630.06000
Uitgestelde belastingverplichtingen niet-vlottend 17.67518.85324.51228.76526.03325.14720.91521.42322.92643.04747.66540.96840.36136.39627.9938.6569.2396.10814.0823.036
Overige niet-vlottende verplichtingen 125.344203.47236.987358.209327.55340.29611.37312.3412.22418.03523.31927.05946.1330.4160.218.81930.16142.146126.060
Totaal niet-vlottende verplichtingen 577.241578.037767.241920.74875.731869.815366.503145.729172.781285.835328.769281.975369.558342.7360.589273.756213.838187.205176.528440.225
Totaal passiva 1,273.9351,311.9541,381.291,546.421,332.7011,274.061760.112786.135693.675851.983959.83910.9511,104.741987.999900.294814.353712.744491.5391,754.5231,647.332
Eigen vermogen:
Preferente aandelen 00504.717417.118428.148392.46700000000000000
Gewone aandelen 299.112299.112202.969202.969202.969202.969202.05937.51937.51937.51662.201662.201662.20166.201672.883568.882580.491222.642999.539590.294
Ingehouden winsten -227.429-219.171-247.65-272.382-270.114-239.082-222.499-177.727-120.78278.16599.0658.816229.271327.176396.88299.997194.315101.213341.17347.943
Overige gereserveerde algehele resultaten 0-574.794-504.717-417.118-428.148-392.467-221.455-202.086-205.999-284.652-274.541-243.923-224.64-212.87-188.3630-181.816-158.75200
Overige totale aandeelhoudersvermogen 234.357870.7834.208-0.114833.985835.039828.741-354.593-164.439-6.521119.38165.775.136839.21114.154183.2727.85601,456.01407.433
Totaal eigen vermogen van aandeelhouders 306.04375.846284.809347.591338.692406.458408.683412.472451.207724.502620.744542.794741.968854.393995.554866.339802.663566.4391,703.6511,045.67
Totaal eigen vermogen 452.635535.562442.759518.788486.711566.794575.764561.608591.674956.63821.2761.769977.8521,095.2171,193.1441,049.746947.005680.8061,970.4291,233.31
Totaal passiva en aandeelhoudersvermogen 1,726.571,847.5161,824.0492,065.2081,819.4121,840.8551,335.8751,347.7431,285.3491,808.6131,781.031,672.722,082.5932,083.2162,093.4381,864.11,659.7491,172.3453,724.9522,880.642