Park Street A/S

CSE:PARKST-A.CO

8.05 (DKK) • At close November 17, 2023
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 38.20734.532167.8223.15161.60654.3119.95376.39841.39844.73540.96833.71572.711115.6813.31823.147480.229586.084924.941227.69765.136
Kortetermijnbeleggingen 17.83232.23315.58910.1195.9997.8396.5249.41644.70718.50270.40823.23800195.213253.05100000
Liquide middelen en kortetermijnbeleggingen 56.03966.765183.40933.2767.60562.14926.47785.81486.10563.237111.37656.95372.711115.68208.531276.198480.229586.084924.941227.69765.136
Nettovorderingen 0012.1540-92.975-87.99817.672-155.999-229.946-155.658-361.3380290.62500000-662.39700
Voorraad 02.60911.60112.6091.6281.6282.373.81628.51815.022207.129223.245218.68241.146000286.244104.5353.277352.256
Overige vlottende activa 24.59211.8915.58924.09423.75224.23620.47866.39156.721122.13483.801464.365274.006395.26221.002215.526523.359198.958211.721688.935165.742
Totaal vlottende activa 80.63178.654207.16357.36492.98588.01349.325156.02271.344200.393402.306744.563598.758552.086429.533491.724993.5131,071.286844.491919.909583.134
Niet-vlottende activa:
Materiële vaste activa, netto 0.8970.5070.490.7926.8382.0782.9123.3211.80.4060.2680.63249.095449.8181,047.0381,439.2334,776.3737.7922,717.336.4031,615.506
Goodwill 000000000000000000000
Immateriële activa 01.0711.8653.6721.784000000.0270.4630.5781.2042.6093.4040.0591.512.9494.3885.25
Goodwill en immateriële activa 0.4391.0711.8653.6721.784000000.0270.4630.5781.2042.6093.4040.0591.512.9494.3885.25
Langetermijnbeleggingen 0-30.204-13.56-8.09-3.970001,909.154000003,480.205-252.53800000
Belastingvorderingen 030.2040000.17905.12601.16212.44609.7857.5986.096.38300000
Overige niet-vlottende activa 2,634.7222,727.2332,824.792,669.3292,675.2062,490.4282,436.5452,060.849139.892,193.8192,310.2842,535.9313,350.2883,268.5314.2093,937.11927.7843,842.523327.5321,696.429167.257
Totaal niet-vlottende activa 2,636.0582,728.8112,813.5852,665.7032,679.8582,492.6852,439.4572,069.2962,050.8442,195.3872,323.0252,537.0263,409.7463,727.154,550.1515,133.6014,804.2133,881.8253,047.8111,707.2211,788.014
Totaal activa 2,716.692,807.4653,020.7492,723.0662,772.8432,580.6982,488.7822,225.3162,322.1882,395.782,725.3313,281.5894,008.5044,279.2364,979.6845,625.3255,797.7264,953.1113,892.3022,627.132,371.148
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 18.55719.3377.7183.9884.9874.634.3753.1736.7662.7458.43913.82122.07228.59332.309064.86975.181,005.47600
Kortlopende schulden 22.95320.29321.10750.97154.67350.843281.918851.846914.11981.2311,103.61,385.679406.642128.6621,845.0611,890.787035.7249.938732.59721.066
Belastingschulden 001.2674.5490.0255.3283.152000000.0430.28900006.8619.866.176
Uitgestelde opbrengsten 0.401.6674.9490.4256.5285.15248.3353.53.3236.395.199180.671239.75900006.8600
Overige kortlopende verplichtingen 38.08133.91946.33838.05829.46940.67544.20436.30831.32134.455104.73648.837206.464274.211251.474211.871,542.1061,842.992366.573-208.867547.867
Totaal kortlopende verplichtingen 79.99173.54978.09797.565189.154101.476333.649939.662955.6971,021.7541,223.0751,543.536635.221431.7552,128.8442,102.6571,606.9751,953.8961,388.846543.591575.109
Langlopende verplichtingen:
Langetermijnschulden 1,332.7081,382.6431,488.3641,354.0541,478.6911,540.0731,501.3531,299.6511,421.9641,485.1431,639.031,668.3943,246.7113,586.4132,118.5742,127.2462,402.47601,208.426994.4881,097.711
Uitgestelde opbrengsten niet-vlottend 0000000000003.51512.3350000000
Uitgestelde belastingverplichtingen niet-vlottend 233.847254.025232.087191.733152.43120.60688.18706.078004.1256.37525.74223.089342.849402.035354.932289.7350141.079
Overige niet-vlottende verplichtingen 10.18610.2245.1637.76821.4367.89110.64619.06522.59425.06519.75227.74234.4129.76512.2699.408-21.0081,446.4216.454488.856-0
Totaal niet-vlottende verplichtingen 1,576.7411,646.8921,725.6141,553.5551,652.5571,668.571,600.1861,318.7161,450.6361,510.2081,658.7821,700.2613,291.0113,654.2532,353.9322,479.5032,804.5111,801.3531,504.6151,483.3451,238.791
Totaal passiva 1,656.7311,720.4411,803.7111,651.121,841.7111,770.0461,933.8352,258.3782,406.3332,531.9622,881.8573,243.7973,926.2324,086.0084,482.7764,582.164,411.4863,755.2492,893.4612,026.9351,813.9
Eigen vermogen:
Preferente aandelen 000000000000000000000
Gewone aandelen 57.17557.17567.51367.51367.51367.51342.85312.02812.02812.02812.028120.279120.279120.279312.786312.786312.786312.786312.786312.786312.785
Ingehouden winsten 657.948680.628807.345660.066523.182406.567296.715-65.13-108.815-148.356-168.7-79.887-36.50776.934202.687754.692276.763207.185098.09685.217
Overige gereserveerde algehele resultaten 059.96152.9255.10751.17747.31244.14720.0412.6420.1460.1460000000000
Overige totale aandeelhoudersvermogen 344.835289.26289.26289.26289.26289.26171.2320000-0.1350-3.199-18.565-24.802795.765677.925179.077189.313159.246
Totaal eigen vermogen van aandeelhouders 1,059.9581,087.0241,217.0381,071.946931.132810.652554.947-33.062-84.145-136.182-156.52640.25784.605194.014496.9081,042.6761,385.3141,197.896998.841600.195557.248
Totaal eigen vermogen 1,059.9581,087.0241,217.0381,071.946931.132810.652554.947-33.062-84.145-136.182-156.52637.79282.272193.228496.9081,043.1651,385.7771,197.879998.841600.195557.248
Totaal passiva en aandeelhoudersvermogen 2,716.692,807.4653,020.7492,723.0662,772.8432,580.6982,488.7822,225.3162,322.1882,395.782,725.3313,281.5894,008.5044,279.2364,979.6845,625.3255,797.7264,953.1113,892.3022,627.132,371.148