Verbund AG

FSX:OEWA.DE

76.75 (EUR) • At close September 6, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 964.044409.252318.56249.20344.63539.34728.59327.9628.88841.68383.285121.67333.243488.981125.984107.782330.1287.96929.698
Kortetermijnbeleggingen 4.40.24.3-300.289-86.91889.3123.9-462.644-464.01265.2145.4210.80000000
Liquide middelen en kortetermijnbeleggingen 968.444409.452322.86249.20344.635128.64728.59327.9628.888306.883228.685332.47333.243488.981125.984107.782330.1287.96929.698
Nettovorderingen 2,330.722,878.2832,920.932548.8664.6394346559.5621.9703.851,414.5812,130.2591,119.234000000
Voorraad 80.76812363.433.134.335.910.59.11956.584.8137.2107.11492.279127.0866.44848.81452.20726.85
Overige vlottende activa 210.296501.262380.76871.29233.237.832.98.18.313.435.813.4-1.135987.484728.058793.192637.556425.592532.176
Totaal vlottende activa 3,590.2283,911.8354,247.562702.403776.7351,002.147621.993604.66678.0881,080.6331,763.8662,613.3291,558.4561,568.744981.122967.4221,016.49565.768588.724
Niet-vlottende activa:
Materiële vaste activa, netto 12,867.64212,023.210,776.19,518.59,244.48,957.38,871.59,010.69,201.99,436.79,398.67,385.76,578.7015,958.6955,553.8414,390.0124,131.9694,068.9114,044.489
Goodwill 634.5706.5667.4587.7587.7587.7587.7741.5741.5741.5741.5605.70000000
Immateriële activa 365.7538.3121.380.564.456.687.969.863.354.957.556.4632.141623.624633.34412.54207.9938.601
Goodwill en immateriële activa 1,000.21,244.8788.7668.2652.1644.3675.6811.3804.8796.4799662.1632.141623.624633.34412.54211.0157.9938.601
Langetermijnbeleggingen 1,964.4511,471.2861,202.4811,098.8941,165.676934.005562.6131,087.61,061.9252.299352.3521,057.9530000000
Belastingvorderingen 408.735.83935.811-1,098.894-1,165.676167.3552-1,087.6-1,061.9681.562494.8676.10000000
Overige niet-vlottende activa 0.001469.52574.3351,165.1711,165.406-0.25-0.1631,111.6581,078.299-0.345-0.0240.0683,090.0123,139.9163,176.9092,923.8632,180.3041,797.521,954.867
Totaal niet-vlottende activa 16,240.99415,244.6512,877.42711,351.87111,061.90610,702.65510,661.5510,933.55811,084.99911,166.61611,044.7289,781.92110,300.8549,722.2359,364.0947,326.4176,323.2885,874.4246,007.957
Totaal activa 19,831.22219,156.64417,111.57212,054.20211,838.62911,704.79811,283.60211,538.18811,762.99312,247.29612,808.62812,387.32711,859.3111,290.97910,345.2168,293.8397,339.7786,440.1926,596.681
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 327.4412.7293.6224225.8188171.5157.2118.8144.2164.7207.5480.909324.09500000
Kortlopende schulden 865.5291,120.11,470.7107310.7753.5213.9324.8385.4806.3654.2385.80000376.767438.846300.106
Belastingschulden 642.8457.867257.784202.107118.60465.573115.05775.74142.47355.61171.8579.2412.41949.67000114.5640.297
Uitgestelde opbrengsten 7.825.24,386.934668.793460.29365.573533.059523.161383.412396.627653.755599.5510000000
Overige kortlopende verplichtingen 1,960.5612,587.411192.963135.055166.436788.73189.64995.34692.278225.39339.18848.828562.754552.743978.6781,350.075608.398669.554746.172
Totaal kortlopende verplichtingen 3,161.294,145.4116,344.1971,134.8481,163.2291,795.8041,008.1081,100.507979.891,572.521,511.8431,241.6791,043.663876.838978.6781,350.075985.1651,108.41,046.278
Langlopende verplichtingen:
Langetermijnschulden 1,555.042,744.11,773.11,277.61,343.6721,472.8172,141.5982,394.9162,744.1162,900.4943,359.5283,935.3014,527.6714,898.746392.6952,245.8982,209.725647.9281,149.503
Uitgestelde opbrengsten niet-vlottend 62.20.1982.028887.919163245.62247.21748.81250.40852.00363.69855.19356.78874.129244.816250.759256.702262.593
Uitgestelde belastingverplichtingen niet-vlottend 1,705.368800.452486.851797.055757.299634.546558.437569.189549.51486.32613.721200.83247.301168.333174.081179.247148.554147.364137.252
Overige niet-vlottende verplichtingen 1,337.4763,143.5621,162.4471,082.8471,990.4181,828.6081,839.011,896.8592,007.3491,957.1031,724.9921,846.4251,056.082917.8745,315.9421,145.7181,070.951,879.4842,035.536
Totaal niet-vlottende verplichtingen 4,660.0846,688.2144,404.4264,045.4214,107.3893,967.9714,584.6674,908.1815,349.7875,394.3255,750.2446,046.2545,886.2476,041.7415,956.8473,815.6793,679.9882,931.4783,584.884
Totaal passiva 7,821.37410,833.62510,748.6235,180.2695,270.6185,763.7755,592.7756,008.6886,329.6776,966.8457,262.0877,287.9336,929.916,918.5796,935.5255,165.7544,665.1534,039.8784,631.162
Eigen vermogen:
Preferente aandelen 0376.43823.2300000218.40000000000
Gewone aandelen 347.416347.416347.416347.416347.416347.416347.416347.416347.416347.416347.416347.416347.416000000
Ingehouden winsten 8,322.7397,3055,937.4545,325.5054,933.754,525.4114,187.4624,069.8673,776.3493,652.2423,866.4493,493.4073,218.337000000
Overige gereserveerde algehele resultaten 1,298.967-376.43-823.23478.259606.64432.47529.1547-218.4689.396726.5600000000
Overige totale aandeelhoudersvermogen 0-376.43-823.230000.073-0.033735.852-0.0010.494617.582757.7934,036.0253,117.9162,867.7862,407.4562,178.7041,783.831
Totaal eigen vermogen van aandeelhouders 9,969.1227,275.9865,461.646,151.185,887.8065,305.2975,064.0514,964.254,859.6174,689.0534,940.9194,458.4054,323.5464,036.0253,117.9162,867.7862,407.4562,178.7041,783.831
Totaal eigen vermogen 11,220.9118,323.0196,362.9496,873.9336,568.0115,941.0235,690.8275,529.55,433.3165,280.4515,546.5415,099.3944,929.44,372.43,409.6913,128.0852,674.6252,400.3141,965.519
Totaal passiva en aandeelhoudersvermogen 19,831.22219,156.64417,111.57212,054.20211,838.62911,704.79811,283.60211,538.18811,762.99312,247.29612,808.62812,387.32711,859.3111,290.97910,345.2168,293.8397,339.7786,440.1926,596.681