Groupe Partouche SA

EPA:PARP.PA

21.6 (EUR) • At close November 13, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 149.363166.871178.811138.441119.131109.932116.406152.492164.858116.711112.553126.141132.029107.61178.86668.972128.824105.186117.61965.91655.63746.698
Kortetermijnbeleggingen 0000003.3720000000-3.011-4.161-4.014-5.00103.57200
Liquide middelen en kortetermijnbeleggingen 149.363166.871178.811138.441119.131109.932116.406152.492164.858116.711112.553126.141132.029107.61178.86668.972128.824105.186117.61969.48855.63746.698
Nettovorderingen 25.22823.30450.50935.86719.55612.77111.8369.9726.05210.57813.37727.68431.87038.14438.273049.46835.75431.35600
Voorraad 6.6327.1897.38110.9979.1889.3727.7563.1423.1842.8193.1193.673.5313.843.5724.0527.848.0727.8677.597.1947.227
Overige vlottende activa 9.6857.9038.25729.55726.46836.41232.19328.85926.52357.27652.7544.77543.78612.7610.0348.62715.23472.8039.31348.47565.78474.281
Totaal vlottende activa 190.908205.268243.569192.606174.343168.487168.191194.465200.617187.384181.799174.586179.347153.787131.596120.881200.175186.06171.82125.553128.615128.206
Niet-vlottende activa:
Materiële vaste activa, netto 387.242370.531313.937343.404296.691290.377262.361241.723247.356251.331301.658326.625343.859360.176386.362413.161414.801420.005450.761374.785363.802352.752
Goodwill 204.989205.108205.19230.41230.28232.504239.63242.938248.747279.314308.525324.607328.859336.954412.123414.114407.747404.301418.919444.857380.915393.621
Immateriële activa 2.209207.402207.38233.0294.6054.5131.0731.0660.971.8453.0544.67610.7911.35911.57211.6849.5998.8849.475-76.42210.0099.871
Goodwill en immateriële activa 207.198412.51412.57463.439234.885237.017240.703244.004249.717281.159311.579329.284339.649348.313423.695425.798417.346413.185428.394368.435390.924403.492
Langetermijnbeleggingen 15.16711.07514.19814.8053.233.2163.034.634.3854.3464.4056.8114.4984.5843.0149.82611.68441.08430.45640.46600
Belastingvorderingen 2.782.9551.8662.7912.2082.1812.4273.4162.6512.3472.162.3682.3794.6392.3970.8551.9882.283.022000
Overige niet-vlottende activa 1.043-204.005-189.765-229.364-2.208-2.181-2.427-3.416-2.651-2.347-2.165.3615.6449.74714.8829.984.9880.6180.2293.57249.54148.569
Totaal niet-vlottende activa 613.43593.066552.806595.075534.806530.61506.094490.357501.458536.836617.642670.449696.029727.459830.35859.62850.807877.172912.862787.258804.267804.813
Totaal activa 804.337798.334796.375787.681720.042722.105698.583705.692720.243738.377803.745845.035875.376881.246961.946980.5011,050.9821,063.2321,084.682912.811932.882933.019
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15.73415.19339.62719.12314.99917.45315.88213.37114.91916.6525.18328.24219.671105.037.517118.67199.26191.08920.2417.81118.51419.012
Kortlopende schulden 39.29438.87542.03632.15422.96235.31823.87127.61426.20.75973.13248.39126.887144.03512.101304.8150.63945.93442.4450391.754527.017
Belastingschulden 37.31838.09132.58835.73733.82330.31131.23832.27833.47831.59631.37830.72634.54334.13236.61940.92563.46166.94477.71597.43888.51380.265
Uitgestelde opbrengsten 02.4771.431.1851.2751.4291.579-27.614-25.174-0.367-70.72333.17839.65337.02441.2343.47465.40666.94477.715088.51380.265
Overige kortlopende verplichtingen 91.91186.85788.01177.92782.92682.17581.483.11274.5777.90782.6890.14187.8643.806111.614.0914.98-10.00465.59479.041-587.294-706.559
Totaal kortlopende verplichtingen 184.257179.016197.479164.941154.71165.257152.391156.375149.167126.912212.373197.5168.965287.91167.847468.497218.341195.8205.994131.844410.268546.029
Langlopende verplichtingen:
Langetermijnschulden 229.995238.78245.365214.852138.707144.254133.463161.255177.647219.803201.384229.964281.844195.819409.807116.979431.292503.045548.877454.89700
Uitgestelde opbrengsten niet-vlottend 1.7391.7533.925.0353.1944.1034.9776.036.3496.7436.04316.17115.82314.26613.75821.72825.17100000
Uitgestelde belastingverplichtingen niet-vlottend 2.4176.1619.01310.7212.48315.75318.24927.29436.21837.9834.51332.65334.35631.56733.1834.49132.67332.71931.46923.17116.51315.047
Overige niet-vlottende verplichtingen 19.06618.60120.40220.19919.03220.81121.52419.16618.61516.82616.29112.1216.79413.32311.0612.2489.73729.95324.142-38.985-16.513-15.047
Totaal niet-vlottende verplichtingen 253.217265.295283.483250.806125.406133.447133.432161.574178.012218.941198.594300.854338.817248.473467.805185.446498.873563.88604.488501.529-10.122-9.953
Totaal passiva 437.472444.311480.962415.747328.126350.178330.665370.533387.994408.151470.468498.354507.782536.383635.652653.943717.214759.68810.482633.373678.442706.29
Eigen vermogen:
Preferente aandelen 131.59500027.700000000000000000
Gewone aandelen 192.541192.541192.541192.541192.541192.541192.541193.631193.631193.631193.631193.631193.631163.6486.19586.19586.19586.19586.19586.19586.19586.195
Ingehouden winsten 33.136153.712118.186170.20722.0318.9442.851-17.642-8.201-6.965-18.21111.06129.831139.758199.911200.492208.528.6732.86620.13417.65722.459
Overige gereserveerde algehele resultaten -19.749-21.79-21.758-21.349-27.7147.531141.68198.202108.957106.589118.857-531.218-504.376-474.935-442.399-401.171000000
Overige totale aandeelhoudersvermogen 140.59-111.6788.9148.93-46.3758.9969.1877.9859.0139.0379.01511.4599.24211.71811.27110.6718.614156.3519.2429.41188.52474.265
Totaal eigen vermogen van aandeelhouders 346.518333.454297.883350.329367.993349.068343.409310.962303.4302.292303.293316.15335.466314.902297.377297.358303.309271.216240.558243.633192.376182.919
Totaal eigen vermogen 366.865354.023315.413371.934391.916371.927367.918335.159332.249330.226333.277346.681367.594344.863326.294326.558333.768303.552274.2279.438223.408204.824
Totaal passiva en aandeelhoudersvermogen 804.337798.334796.375787.681720.042722.105698.583705.692720.243738.843804.275845.035875.376881.246961.946980.5011,050.9821,063.2321,084.682912.811932.882933.019