Randon S.A. Implementos e Participações

B3:RAPT4.SA

10.72 (BRL) • At close November 4, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,864.8072,504.8621,890.7591,660.3641,177.2021,229.1511,001.5991,133.6431,328.4041,358.091,166.55855.255736.1911,049.483616.659316.372252.879183.221172.442
Kortetermijnbeleggingen 0.052624.009336.291782.544808.942498.78650.698680.983403.773156.692247.279-35.401367.959224.02368.513065.28833.2383.711
Liquide middelen en kortetermijnbeleggingen 2,864.8593,128.8712,227.052,442.9081,986.1441,727.9311,652.2971,814.6261,732.1771,514.7821,413.829855.2551,104.151,273.506685.172316.372318.167216.459176.153
Nettovorderingen 2,624.8142,471.8532,227.6581,747.388897.805886.405759.66660.487818.263833.2321,006.028945.896770.833676.177606.47125.777430.514381.562325.964
Voorraad 1,773.2282,186.4142,015.8911,057.786820.46838.979607.06457.106553.094553.51518.957533.298591.31380.689327.028376.237284.125227.946227.933
Overige vlottende activa 124.74742.77586.16159.51153.64742.76990.717105.92195.00384.12492.048341.77377.46511.86412.03497.549107.55559.42657.805
Totaal vlottende activa 7,387.6487,829.9136,556.765,307.5933,758.0563,496.0843,109.7343,038.143,198.5372,985.6483,030.8622,676.2222,543.7582,342.2361,630.71,315.9351,140.361885.393787.855
Niet-vlottende activa:
Materiële vaste activa, netto 2,544.6112,458.9192,246.4681,898.6051,709.1971,480.0171,323.4541,293.0721,452.8531,401.4031,385.1081,352.121,183.3731,093.649770.252726.574527.565395.2286.074
Goodwill 354.687308.932165.588153.82277.37373.0259.101000000000000
Immateriële activa 563.91519.309378.939375.153111.554116.35497.2568.58389.627102.182113.519120.794065.05931.29712.773000
Goodwill en immateriële activa 918.597828.241544.527528.975189.667189.379106.35168.58389.627102.182113.519120.794132.11765.05931.29712.77365.28800
Langetermijnbeleggingen 1,014.903-460.033-266.929-712.355-796.385-486.861-649.419-679.707-402.125-154.973-245.56115.905-295.769-154.607-15.9437.389-56.226-24.1255.207
Belastingvorderingen 197.431171.94682.678125.668169.354168.835187.821195.907155.10367.78102.4525.211374.82170.04412.2655.55611.52300
Overige niet-vlottende activa 756.9532,053.3611,556.2831,831.9721,298.225990.689892.74952.296689.871471.491520.53751.04378.236294.864148.659147.537111.633135.65489.737
Totaal niet-vlottende activa 5,432.4955,052.4344,163.0273,672.8652,570.0582,342.0591,860.9471,830.1511,985.3291,887.8831,876.0561,645.0731,472.7781,369.009946.53899.829659.783506.729381.018
Totaal activa 12,820.14312,882.34710,719.7878,980.4586,328.1145,838.1434,970.6814,868.2915,183.8664,873.5314,906.9184,321.2954,016.5363,711.2452,577.232,215.7641,800.1441,392.1221,168.873
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,201.2081,443.574947.66875.332366.673394.881307.348170.058134.718163.651177.943207.305189.134143.317146.134117.613180.968196.548184.064
Kortlopende schulden 1,253.018984.4021,214.523986.023589.616854.181838.69777.4751,080.433519.122545.357835.983474.049386.82300000
Belastingschulden 49.35253.47203.148280.59479.13161.752150.52150.61946.52849.09243.7836.24243.15847.41724.98825.96127.47518.4518.8
Uitgestelde opbrengsten 117.604119.6261,087.379879.468392.77161.752293.134179.761185.303202.58267.899192.372145.557234.31300000
Overige kortlopende verplichtingen 1,499.0721,353.354700.283300.097158.62277.1148.734112.375110.97152.905163.185137.192255.347186.697440.555529.77478.803217.227267.19
Totaal kortlopende verplichtingen 4,070.9023,900.9563,949.8453,040.921,507.681,587.9141,587.9061,239.6691,511.4241,038.2581,154.3841,372.8521,064.087951.15586.689647.383659.771413.775451.254
Langlopende verplichtingen:
Langetermijnschulden 4,121.3684,698.9793,055.8732,790.8962,410.2351,984.6141,368.9681,651.8432,014.112,054.2982,060.6091,025.4551,009.639000000
Uitgestelde opbrengsten niet-vlottend 2.583.1633.4323.8584.4034.94732.8116.03719.5640041.87212.443000000
Uitgestelde belastingverplichtingen niet-vlottend 53.77915.363311.98154.95782.83369.59656.23939.0331.1960014.04516.57896.9374.3810.7390.87800
Overige niet-vlottende verplichtingen 673.544442.62123.916425.663147.001146.11116.69841.42819.90437.63149.1179.41452.4311,045.416779.84783270.311248.293211.004
Totaal niet-vlottende verplichtingen 4,851.2715,160.1253,495.2023,275.3742,644.4722,205.2681,474.7161,738.3382,084.7742,091.9292,109.7261,090.7861,091.0911,142.353784.221783.739271.189248.293211.004
Totaal passiva 8,922.1739,061.0817,445.0476,316.2944,152.1523,793.1823,062.6222,978.0073,596.1983,130.1873,264.112,463.6382,155.1782,093.5031,370.911,431.122930.96662.068662.258
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 1,293.171,293.171,293.171,293.171,293.171,293.171,293.171,293.171,2001,200730730730730406400279279180
Ingehouden winsten 1,639.2661,465.8911,181.246882.474577.864427.93944.142294.055357.306377.517707.857544.093120.339000000
Overige gereserveerde algehele resultaten -144.664-4.29945.80320.37421.445575.685161.144142.0589.051-123.861-78.58500000000
Overige totale aandeelhoudersvermogen -9.997-9.9970-148.637-599.935-769.482-66.213-316.126-289.024-22.071-22.07195.403503.933442.045478.139384.64297.70442.326154.839
Totaal eigen vermogen van aandeelhouders 2,777.7752,744.7652,520.2192,047.3771,692.5441,527.3121,432.2431,413.1571,277.3331,431.5851,337.2011,369.4961,354.2721,172.045884.139784.642376.704321.326334.839
Totaal eigen vermogen 3,895.393,821.2663,274.742,664.1642,175.9622,044.9611,908.0591,890.2841,587.6681,743.3441,642.8081,857.6571,861.3581,617.7421,206.32784.642622.944525.69506.615
Totaal passiva en aandeelhoudersvermogen 12,820.14312,882.34710,719.7878,980.4586,328.1145,838.1434,970.6814,868.2915,183.8664,873.5314,906.9184,321.2954,016.5363,711.2452,577.232,215.7641,800.1441,392.1221,168.873