CPI FIM SA

WSE:OPG.WA

2.36 (PLN) • At close December 13, 2023
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 163.44383.602104.082210.076249.19129.44714.70511.232.1650.5644.60368.7697.00337.09553.43957.0483.799257.97798.33949.08915.74200
Kortetermijnbeleggingen 0000149.521000002.652-739.0850.0370.0290.3020.4882.1911.22200000
Liquide middelen en kortetermijnbeleggingen 163.44383.602104.082210.076249.19129.44714.70511.232.1650.5644.60368.7697.0437.12453.74157.52885.989269.19998.33949.08915.74200
Nettovorderingen 547.97.942352.963487.3636.511129.92292.4914.543.8333.409019.9625.12160.274000180.50152.6020000
Voorraad 36.6950.3440.4020.3550.30.3417.9676.3486.5247.7749.422114.72265.497382.279418.957482.605529.827323.699248.88455.63731.77800
Overige vlottende activa 24.37972.76.2545.379308.4643.3941.37878.08464.2728.50815.45857.89270.779102.754225.352136.656137.49622.396138.24549.05332.6568.58112.326
Totaal vlottende activa 772.4031,114.588463.701703.173564.465263.104116.541100.20276.84422.95529.483281.272345.07511.956698.05630.554753.312795.795485.468153.77980.1768.58112.326
Niet-vlottende activa:
Materiële vaste activa, netto 2.3522.4942.75222.1930.6620.6620.3980.0350.0260.3531.03373.95144.307156.865237.851235.677628.273419.575213.86158.29566.3540.6180.003
Goodwill 0000000000038.59238.6450000000000
Immateriële activa 00.9180.8420.610.0151.1230.0270000.0387.8249.00847.78348.20548.90357.07467.0161.5450.7181.250.0090.011
Goodwill en immateriële activa 1.1220.9180.8420.610.0151.1230.027-109.184-33.04600.03846.41647.65347.78348.20548.90357.07467.0161.5450.7181.250.0090.011
Langetermijnbeleggingen 071.5171.37961.1846.407191.965129.296109.18433.046106.55787.005769.89836.08546.75829.74731.86568.49170.9600000
Belastingvorderingen 90.0670120.37133.921142.019153.126180.021123.565114.0250-87.0050.3130.35300.1143.7427.35213.7486.5663.4694.33500
Overige niet-vlottende activa 5,671.6776,001.6156,208.586,462.5655,750.7984,634.0662,766.5851,756.501422.771248.697343.559-0.004856.403939.011888.3381,121.722949.6081,576.169772.915374.314156.84367.97744.765
Totaal niet-vlottende activa 5,765.2186,076.5376,403.9236,680.4695,939.9014,980.9423,076.3271,880.101536.822355.607344.63890.5731,084.8011,190.4171,204.2551,441.9091,710.7982,147.468994.886536.796228.78268.60444.779
Totaal activa 6,537.6217,191.1256,867.6247,383.6426,504.3665,244.0463,192.8681,980.303613.666378.562374.1141,171.8451,429.8711,702.3731,902.3052,072.4632,464.112,943.2631,480.354690.575308.95877.18557.106
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 27.44322.51412.6238.9538.61810.54318.9412.7231.6574.9375.15122.42525.5716.36621.01133.4859.57750.2255.52620.78718.11600
Kortlopende schulden 168.787191.718246.013261.562376.179252.53887.85354.58120.86769.51213.835274.606223.958119.9238.22259.2190175.21695.45435.729.3400
Belastingschulden 6.3250.55110.350.7823.1983.3592.4262.3682.1392.7843.03718.09312.4680000000000
Uitgestelde opbrengsten 00061.28472.81402.4262.3682.1392.7843.03788.67965.504713.13525.95944.380106.5563.37719.21000
Overige kortlopende verplichtingen 375.48374.65471.30960.29169.65542.34882.569141.77816.7538.6277.28102.33586.485781.44688.064757.74510.31683.659136.40111.01240.74820.45120.556
Totaal kortlopende verplichtingen 578.035589.437340.295331.588457.65308.788194.215201.4541.41685.8629.304417.459348.481917.735643.256894.819569.893415.645287.38186.70988.20420.45120.556
Langlopende verplichtingen:
Langetermijnschulden 4,003.6984,965.2334,653.8625,404.9484,855.743,886.7922,091.6971,113.884144.05381.108127.488360.296510.612402.605762.658894.0311,255.921,304.536557.117267.42487.48400
Uitgestelde opbrengsten niet-vlottend 9.83903.8963.7293.725000.0581.7120.9891.3071.45336.4040026.2070000000
Uitgestelde belastingverplichtingen niet-vlottend 173.370149.139130.86678.538.234.1633.04812.9113.8764.097107.537101.33492.508106.792101.225167.904243.9488.74844.51813.36600
Overige niet-vlottende verplichtingen 9.495178.841154.522131.1365.17950.58838.0936.59814.9247.0055.901130.9730.00114.32633.6351.45144.54239.30728.6831.00111.0490.3020.167
Totaal niet-vlottende verplichtingen 4,196.4025,144.0744,808.3845,536.0844,943.1443,937.382,129.7871,150.482158.97788.113138.794491.269648.351509.439903.081,072.9141,468.3661,587.783674.548312.943111.8990.3020.167
Totaal passiva 4,774.4375,733.5115,148.6795,867.6725,400.7944,246.1682,324.0021,351.932200.393173.973168.098908.728996.8321,427.1741,546.3361,967.7332,038.2592,003.428961.929399.652200.10320.75320.723
Eigen vermogen:
Preferente aandelen 00000095.4020000000000000000
Gewone aandelen 13.14513.14513.14513.14513.14513.14513.14513.14513.14531.45131.451229.015442.14869.92157.62100034.39827.8518.95416.4711.845
Ingehouden winsten 509.922514.887469.83322.5928.537-83.968-151.4090000000000000000
Overige gereserveerde algehele resultaten 00140.574118.24472.689112.50956.007-232.127-385.017-513.413-512.305-700.03900000000000
Overige totale aandeelhoudersvermogen 918.579929.115784.67784.67857.359784.67784.67784.67784.67172.951174.059-53.106-3.655189.611245.43611.707304.633736.012419.834215.34787.79739.96224.538
Totaal eigen vermogen van aandeelhouders 1,441.6461,457.1471,408.2191,238.649899.041826.356702.413565.688412.798204.402205.51175.909425.712263.195303.05756.577304.633736.012454.232243.197106.75156.43236.382
Totaal eigen vermogen 1,763.1841,457.6141,718.9451,515.971,103.572997.878868.866628.371413.273204.589206.016263.117433.039275.199355.969104.73425.851939.835518.425290.923108.85556.43236.382
Totaal passiva en aandeelhoudersvermogen 6,537.6217,191.1256,867.6247,383.6426,504.3665,244.0463,192.8681,980.303613.666378.562374.1141,171.8451,429.8711,702.3731,902.3052,072.4632,464.112,943.2631,480.354690.575308.95877.18557.106