RHÖN-KLINIKUM Aktiengesellschaft

FSX:RHK.DE

12.3 (EUR) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 206.04277.334126.31690.955127.694132.283122.45280.814143.32695.3929.851237.025477.536415.743444.92186.532170.057176.136254.34468.495101.81789.098
Kortetermijnbeleggingen 136.8227.6173.4175.2108130112.2193.235950.79.439.132.902000000000
Liquide middelen en kortetermijnbeleggingen 342.842304.934299.716266.155235.694262.283234.652274.014502.32746.0939.251276.125510.438415.743444.92186.532170.057176.136254.34468.495101.81789.098
Nettovorderingen 394.682343.957274.133262.94296.749259.223239.979212.757194.832185.2882,146.245462.923356.97000361.644348.232270.227220.822159.673137.897
Voorraad 34.21433.31833.12535.23928.43725.93925.02224.81623.0821.8321.14556.90750.29247.94145.92842.02739.84239.03527.81619.68115.54513.89
Overige vlottende activa 17.4736.3994.1032.12.1072.2962.9068.52321.0954.594.636.95611.51399.219402.113349.956376.044360.832270.404221.00819.47910.612
Totaal vlottende activa 789.211688.608611.077566.434562.987549.741502.559520.11741.327957.7982,211.271802.911929.21862.903892.962478.515585.943576.003552.564309.184296.514251.497
Niet-vlottende activa:
Materiële vaste activa, netto 792.108822.5852.6865.6858.2852.1747.1701668.5663.2711.91,919.71,859.0521,827.4881,599.8611,387.0121,226.11,173.8961,040.085870.54757.755717.941
Goodwill 165.4165.5165.2164.8164.2163.9163.3162.4157.21561564140000000041.56520.965
Immateriële activa 10.52813.81916.37416.82713.92812.80711.18210.7199.2787.7367.11317.0410346.863341.719250.276000044.79423.378
Goodwill en immateriële activa 175.928179.319181.574181.627178.128176.707174.482173.119166.478163.736163.113431.041365.436346.863341.719250.276255.581242.888.97549.01486.35944.343
Langetermijnbeleggingen 13.277-213.787-155.433-162.806-78.312-124.928-76.658-139.666-308.578-38.758-9.025-25.432-32.59218.4895.069000001.7791.773
Belastingvorderingen 8.80.3581.1111.4720.6263.1789.1345.72.48458.331.6433.1613.2780.77717.149000007.2268.013
Overige niet-vlottende activa 0227.946174.668177.343110.29132.49114.781195.982364.2770.00519.28753.00850.8811.7241.78825.0915.475-13.074-59.406-73.119-40.661-20.186
Totaal niet-vlottende activa 990.1131,016.3361,054.521,063.2361,068.9321,039.547968.839936.135893.161846.513886.9182,381.4782,246.0552,195.3411,965.5861,662.3791,487.1561,403.6221,069.654846.435812.458751.884
Totaal activa 1,779.3241,704.9441,665.5971,629.671,631.9191,589.2881,471.3981,456.2451,634.4881,804.3113,098.1893,184.3893,175.2653,058.2442,858.5482,140.8942,073.0991,979.6251,622.2181,155.6191,108.9721,003.381
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 66.83569.98672.49280.70784.451115.883108.22594.8395.30189.59873.42137.312128.994151.509120.683101.675107.966166.0279.26948.52700
Kortlopende schulden 3.66110.94.14.0434.11.3111148.65116.4265.60000000000
Belastingschulden 8.84624.80528.57724.58829.41717.14712.29913.41511.16312.32510.80637.0268.7288.7910.2857.69510.5618.40710.18210.15810.0526.384
Uitgestelde opbrengsten 4.2150.269159.277156.281163.23717.147200.372199.946237.803275.045491.562318.0150000000000
Overige kortlopende verplichtingen 260.77759.92837.44432.34610.558178.84211.2711.6267.6227.5637.50214.844403.192447.438557.762376.84-107.966-166.02-79.269-48.52700
Totaal kortlopende verplichtingen 335.473291.083273.313273.377262.346313.172320.867317.402489.326377.206688.884735.771532.186598.947678.445478.515433.059455.202339.407220.50700
Langlopende verplichtingen:
Langetermijnschulden 141.776147.3155.664156.56168.1104.22.92.913.6154.3695.4773000729.3930000179.763218.986
Uitgestelde opbrengsten niet-vlottend 4.4-8.6-8.7-8.8-9.4000023.1140000000000235.085273.328
Uitgestelde belastingverplichtingen niet-vlottend 9.0898.68.78.89.400000.7700001.3210000031.72632.127
Overige niet-vlottende verplichtingen 8.3615.12811.8419.51215.66412.69422.37522.5622.849-0.00347.21868.1621,044.421964.102755.84343.7230000-235.085-273.328
Totaal niet-vlottende verplichtingen 163.625162.428167.505166.072183.764116.89425.27525.4636.449178.181742.618841.1621,044.421964.102757.164773.1160000211.489251.113
Totaal passiva 499.098453.511440.818439.449446.11430.066346.142342.862525.775555.3871,431.5021,576.9331,576.6071,563.0491,435.6091,251.6311,303.3881,288.5281,012.999609.695600.778543.438
Eigen vermogen:
Preferente aandelen 0000000000000000000000
Gewone aandelen 167.406167.406167.406167.406167.406167.406167.406167.406167.406183.705345.58345.58345.58345.58345.58259.200025.9225.9225.92
Ingehouden winsten 510.542482.304456.821423.831420.006393.821360.803349.1346.5487.045924.323870.718000432.016106.292105.283.6876.404423.889365.958
Overige gereserveerde algehele resultaten 178.168178.168178.168178.168178.168-719.2-676.5-644.3-598.5-553.2-1,026.9-941.8-833.448-729.3-652.30000000
Overige totale aandeelhoudersvermogen 395.924395.924395.924395.924395.9241,293.2921,250.5921,218.3491,172.5581,110.9931,401.9541,307.3982,042.8491,842.5991,682.815198.047663.419585.897525.539443.637.49937.497
Totaal eigen vermogen van aandeelhouders 1,252.041,223.8021,198.3191,165.3291,161.5041,135.3191,102.3011,090.5551,087.9641,228.5431,644.9571,581.8961,554.9811,458.8791,376.095889.263769.711691.097609.219545.924487.308429.375
Totaal eigen vermogen 1,280.2261,251.4331,224.7791,190.2211,185.8091,159.2221,125.2561,113.3831,108.7131,248.9241,666.6871,607.4561,598.6581,495.1951,422.939889.263769.711691.097609.219545.924508.194459.943
Totaal passiva en aandeelhoudersvermogen 1,779.3241,704.9441,665.5971,629.671,631.9191,589.2881,471.3981,456.2451,634.4881,804.3113,098.1893,184.3893,175.2653,058.2442,858.5482,140.8942,073.0991,979.6251,622.2181,155.6191,108.9721,003.381