REN - Redes Energéticas Nacionais, SGPS, S.A.

ELI:RENE.LS

2.325 (EUR) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 40.145365.292398.75961.49921.04435.73561.45810.78363.652114.258167.98761.24669.406138.59869.888101.431125.9255.4821.7652.815
Kortetermijnbeleggingen 228.7891,000-56.372-71.192-141.737-27.015-14.4341.3171.5171.39422.7288.864-106.77574.234102.63735.60439.765000
Liquide middelen en kortetermijnbeleggingen 40.1451,365.292398.75961.49921.04435.73561.45812.165.162185.652190.71570.1169.406212.832172.525137.035165.68555.4821.7652.815
Nettovorderingen 746.548338.435448.171448.099354.105462.496394489.517269.123470.005487.972325.47200349.00600422.5600
Voorraad 7.1935.1348.5452.453.9192.0952.9581.0282.9851.7791.882.923.6284.04723.7898.3643.0733.0890.8780.791
Overige vlottende activa 237.4081,000.2360.474224.50816.2730.001-0.001448.8260.001-0.001565.9230.001241.95278.369102.636264.732526.81113.913494.56321.694
Totaal vlottende activa 1,031.2941,709.097855.949512.048395.341500.327605.265461.954337.271657.435758.518398.503314.984495.248647.956410.131695.569495.044497.203325.3
Niet-vlottende activa:
Materiële vaste activa, netto 121.11127.818119.552127.12125.650.5613.2280.5780.6940.6820.9340.8270.4881.2010.8842,847.2432,654.322,523.4961,219.9151,058.702
Goodwill 2.774.5154.7575.3675.9693.87719.1023.3973.7743.7743.7743.7743.7743.7743.7743.7743.774000
Immateriële activa 4,120.6174,077.4724,123.0684,130.5614,214.9164,192.624,306.4163,825.7133,869.0843,838.2283,877.423,891.4643,888.1613,720.8573,450.99200000
Goodwill en immateriële activa 4,123.3874,081.9874,127.8254,135.9284,220.8854,196.4974,325.5183,829.113,872.8583,842.0023,881.1943,895.2383,891.9353,724.6313,454.7663.7743.774000
Langetermijnbeleggingen 361.821-673.336388.516380.989469.762357.454332.927163.472167.947179.106248.587244.103203.2117.1866.12161.03628.827000
Belastingvorderingen 53.43769.80396.67392.57593.66692.49597.73762.82565.83865.98267.861.21563.05760.80237.62746.14719.41619.64748.51639.558
Overige niet-vlottende activa 90.9191,136.2270.001-0.0010.00144.240.00131.886145.345179.548104.31686.1690.001161.435146.759454.676567.628822.6531,605.0381,153.84
Totaal niet-vlottende activa 4,750.6744,742.4994,732.5674,736.6114,909.9644,691.2474,759.4114,087.8714,252.6824,267.324,302.8314,287.5524,158.6913,965.2553,646.1573,412.8763,273.9653,365.7962,873.4692,252.1
Totaal activa 5,781.9686,451.5965,588.5165,248.6585,305.3055,191.5745,364.6764,549.8254,589.9534,924.7555,061.3494,686.0544,473.6754,460.5034,294.1143,823.0073,969.5343,860.843,370.6722,577.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 352.089219.141252.043164.595149.388208.416220.249127.388122.467263.608436.441146.588476.328432.806419.726296.426288.778473.332264.305249.729
Kortlopende schulden 690.508638.944375.22562.557757.158431.402624.336216.595650.754396.952250.3251,170.39953.587421.368497.456541.0261,409.671,193.92765.261624.452
Belastingschulden 70.862543.199261.82753.89366.59556.81488.58139.79818.32755.6568.232.1060.5259.925092.33159.78947.3260.2790
Uitgestelde opbrengsten 28.02700197.84600283.046212.891200.35755.65255.362223.72330.04959.925103.619117.631047.32600
Overige kortlopende verplichtingen 450.6671,666.275419.3030.001221.345211.501-0.001-0.0010.001288.8210.0010.0010.00116.845-0.00135.60359.78913.9130.2790
Totaal kortlopende verplichtingen 1,521.2912,524.361,046.566924.9991,127.891851.3191,127.63556.873973.5791,005.031942.1291,540.711559.965930.9441,020.8990.6861,758.2371,728.4911,029.845874.181
Langlopende verplichtingen:
Langetermijnschulden 2,019.4191,695.3622,390.8522,260.8752,112.2962,274.9392,205.392,298.5431,891.2452,207.5142,430.1591,535.4952,354.0321,910.651,711.321,298.53687.169686.54400
Uitgestelde opbrengsten niet-vlottend 1.762.0210510.116477.2-1,748.765502.934462.166475.5920535.539499.46100078.7220294.68200
Uitgestelde belastingverplichtingen niet-vlottend 107.905115.064107.569144.969141.774113.64499.53473.02788.24992.2773.95682.79766.87571.55181.58692.333178.345204.901269.186165.316
Overige niet-vlottende verplichtingen 198.405597.255633.699-0.0010.0012,236.6-0.001-0.001-0.001484.3730.0010.001455.364525.457483.81351.06339.454-86.999747.298706.961
Totaal niet-vlottende verplichtingen 2,327.4892,409.7023,132.122,915.9592,731.2712,876.4182,807.8572,833.7352,455.0852,784.1573,039.6552,117.7542,876.2712,507.6582,276.7161,820.6451,204.9681,099.1281,016.484872.277
Totaal passiva 3,848.784,934.0624,178.6863,840.9583,859.1623,727.7373,935.4873,390.6083,428.6643,789.1883,981.7843,658.4653,436.2363,438.6023,297.5162,811.3312,963.2052,827.6192,046.3291,746.458
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 667.191667.191667.191667.191667.191667.191667.191534534534534534534534534534534534534534
Ingehouden winsten 387.714353.758330.131350.102361.752369.22351.267316.71312.368296.673284.659272.563298.765280.718311.174319.561319.183465.087133.12889.904
Overige gereserveerde algehele resultaten 351.13390.504306.427284.326311.12321.345-0.871-0.782-0.776-1.008-0.806-0.688-0.48-3.243-2,275.57700000
Overige totale aandeelhoudersvermogen 106.081106.081106.081106.081106.08106.081411.602309.289315.697305.902261.712221.714205.154204.0972,426.487157.541152.59133.634657.148206.883
Totaal eigen vermogen van aandeelhouders 1,512.1161,517.5341,409.831,407.71,446.1431,463.8371,429.1891,159.2171,161.2891,135.5671,079.5651,027.5891,037.4391,015.572996.0841,011.1021,005.7741,032.7211,324.276830.787
Totaal eigen vermogen 1,512.1161,517.5341,409.831,407.71,446.1431,463.8371,429.1891,159.2171,161.2891,135.5671,079.5651,027.5891,037.4391,021.901996.5981,011.6761,006.3291,033.2211,324.343830.942
Totaal passiva en aandeelhoudersvermogen 5,781.9686,451.5965,588.5165,248.6585,305.3055,191.5745,364.6764,549.8254,589.9534,924.7555,061.3494,686.0544,473.6754,460.5034,294.1143,823.0073,969.5343,860.843,370.6722,577.4