Orange S.A.

EPA:ORA.PA

10.1 (EUR) • At close November 4, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operationele Activiteiten:
Nettowinst 2,2661,94684,5672,7361,9541,8432,8132,6529251,8738203,8284,8773,4654,502.5556,310.0044,139.265,705.0032,781.7913,200.735-20,719.474-8,294.4563,670.1592,770.6872,302.1822,244.543
Afschrijvingen & Amortisatie 8,9638,6498,6398,5738,3987,0476,8466,7286,4656,0386,0526,3296,7356,4617,1047,794.7078,123.4447,832.9997,028.8819,736.63810,334.315,625.84912,720.4136,836.6965,024.6024,670.8714,691.813
Uitgestelde Inkomstenbelasting -103972123963541971932262,4323,3683,1223,0882,0871,7792,33800001,127.913-2,935.5291,584.789-2,093.844-277.897297.143177.353-285.454
Aandelen Gebaseerde Vergoedingen 21161852373505619788-5211441000000000000
Verandering in Werkkapitaal -8-792-178-641-934-237-1641174-26937384369-646775159.471294.23814.396996.286649.8961,240.2753,258.204-330.43-250.214672.796278.82-46.364
Vorderingen 441-28964-488-45-85-15017952-196118331596228238000000000000
Voorraden -84-108-1267269-152-14-62-48-73-815343-1323638.072-250.3430.758-142.688-64.916131.015192.5341.669-330.069-175.901-20.46425.455
Crediteuren -10029736-122-85177412858614051-244-41-215-663000000000000
Overig Werkkapitaal -265-692-152-103-873-177-412-85-86-140-51244-229-646964121.399544.58113.6381,138.974714.8121,109.263,065.704-672.09879.856848.697299.284-71.818
Overige Niet-Contante Posten 9201,3212,376-221-4194791,442-1,195-2,035-1,338-3,833-599-1611031,6012,578.122-60.3571,876.04-366.431-1,487.901-1.58812,079.8485,086.817-3,347.543-650.932-291.61-420
Kasstroom uit Operationele Activiteiten 12,05411,23511,23612,69710,1909,50610,1748,7509,5278,8027,25910,01612,87912,58815,32515,034.85614,667.3313,862.69613,363.73912,808.33811,302.22311,829.2177,088.56,631.2018,114.2957,137.6176,184.539
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,829-8,777-8,749-8,546-8,422-7,642-7,527-8,492-7,771-4,206-4,174-4,291-6,711-5,888-6,127-7,232.965-7,075.435-7,038.94-6,137.289-5,210.972-5,092.908-7,936.334-8,567.566-14,352.695-5,003.733-4,664.903-4,516.359
Netto Overnames -1,064278902328677331793,576-3,067767-21,34174-1,065-313233.461113.1690-6,033.439-22.868-201.684-183.923-8,822.694-10,929.556-2,272.798164.56357.273
Aankoop van Beleggingen -84-2,300-79-74-2,071-110-1,063-531-10-1,484-126-73-609-19-1,532-762.877-1,876.54-794.059-1,563.662199.174-2,037.481-672.797-1,104.804274.703870.56-1,908.253-869.999
Verkoop/verval van Beleggingen 1,83451,0311,58615532568389305766158575762256.0311,821.6712,808.7571,817.7991,819.857351.755145.8044,531.6057,951.478287.2051,115.279418.181
Overige Investeringsactiviteiten 1373469241,144524-8884386001,053-1,734-1,818-2,30281964-87-347.677125.514333.384248.227-2,345.0853,249.965-2,857.0043,121.098-29,961.784-532.671269.441-417.272
Kasstroom uit Investeringsactiviteiten -7,006-10,448-5,971-5,562-9,291-8,552-7,941-4,879-9,406-6,352-6,044-4,710-6,308-5,951-7,437-8,054.028-6,891.622-4,690.859-11,668.364-5,559.894-3,730.353-11,504.254-10,842.36-47,017.854-6,651.436-5,023.873-5,328.176
Financieringsactiviteiten:
Schuldaflossingen -1,274-108-1,144-1,475-2,756-4,095-2,728-2,694-4,412-5,101-4,001-3,139-1,717-6,988-9,25500-5,537.956000000000
Uitgifte van Gewone Aandelen 4,267146,7077-732,732119321254,0253,2333,763154,5580053.7962,994.768014,868.21269.5670001,464.870
Terugkoop van Gewone Aandelen -15-1,519-1994,879-34-101-42,575-14,976-24-94-2755,369-7-35.199-214.677-9.85000000000
Uitgekeerde Dividenden -1,862-1,861-2,127-1,595-1,857-1,860-1,729-1,596-1,589-1,846-1,314-3,632-3,703-3,706-3,712-4,960.856-3,122.08-2,601.907-1,182.878-709.648-119.105-76.238-128.126-214.013-71.553-8.527-4.545
Overige Financieringsactiviteiten -659131-8,076-7,2284,5995,2022,0052,2882,3186,6681,8021,793-928-195-358-1,075.355-4,329.211-1,175.177-2,671.397-6,563.877-21,604.762-186.7824,862.03540,234.395-1,034.535-1,925.306-951.817
Kasstroom uit Financieringsactiviteiten -5,467-3,343-4,839-5,412-55-1,131-2,738-1,883-3,924-154-3,537-5,072-2,860-6,117-8,814-6,071.41-7,665.969-9,271.095-859.508-7,417.372-6,855.655-193.4534,733.90940,020.382-1,106.088-468.963-956.363
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 32-6150-5931-40-1021329-6526-7810345-132.175-54.184-28.035107.22722.13-185.803-255.396-74.178-19.16525.839-17.90626.364
Netto Kasstroomverandering -386-2,6174761,664847-176-5451,886-2,289824-2,3872603,633623-881777.24455.555-126.534943.094-146.798530.412-123.886904.748-385.436382.6091,626.875-73.636
Kaspositie aan het Einde van de Periode 5,6186,0048,6218,1456,4815,6345,8106,3554,4696,7585,9348,3218,0614,4283,9494,811.4414,031.5443,970.2964,094.0593,200.7943,344.4542,816.9792,948.0162,045.3662,425.8412,042.121410.909