Realia Business, S.A.

MSE:RLIA.MC

0.972 (EUR) • At close October 17, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 52.82135.64949.14347.34375.89587.49885.075101.13183.87617.545121.968203.91984.607230.364188.989139.982166.74434.02726.82715.0294.202
Kortetermijnbeleggingen 0.7430.8321.030.3744.3125.0942.1922.811.4322.2161.9581.5286.435-2,358.0872.503-2,192.643-2,070.544-1,881.656-702.0900
Liquide middelen en kortetermijnbeleggingen 52.82136.48150.17347.71780.20792.59287.267103.94185.302619.761123.926205.44791.042230.364191.492139.982166.74434.02726.82715.0294.202
Nettovorderingen 22.16937.51621.42649.15534.52347.07547.19784.155144.26644.45454.89866.95866.89253.07547.86190.20457.32995.23526.83488.54284.774
Voorraad 323.857351.892351.039338.88339.979315.209293.816313.44373.44399.838470.64575.364882.412923.3191,010.0951,173.8141,312.8851,270.591,165.615987.128870.334
Overige vlottende activa -398.8474.2964.314.8854.6644.7494.3563.723.6183.3434.7483.5462.12118.831.87120.10559.02655.04245.66329.48510.435
Totaal vlottende activa 415.074430.185426.948440.637459.373459.625432.636505.255706.6261,067.396654.212851.3151,042.4671,225.5881,251.3191,424.1051,595.9841,454.8941,264.9391,120.184969.745
Niet-vlottende activa:
Materiële vaste activa, netto 0.620.6332.0512.3092.4683.0474.7555.0285.3466.0229.0018.3949.0659.2619.84212.36644.49643.04427.5131,439.0021,289.536
Goodwill 000000000000000000000
Immateriële activa 0.0730.0420.0690.0780.0770.0550.0450.0480.0310.0470.3490.57101.47201.0621.011.130.7340.7291.199
Goodwill en immateriële activa 0.0730.0420.0690.0780.0770.0550.0450.0480.0310.0470.3490.5710.9651.4721.3111.0621.011.130.7340.7291.199
Langetermijnbeleggingen 44.06737.7936.22348.22845.97145.41146.30642.4147.14139.296-1.815-1.371100.9262,455.294111.4542,293.9352,187.2242,027.535718.40500
Belastingvorderingen 105.88499.803109.821116.709115.044119.19122.151124.115120.817120.569149.945153.922124.53191.56975.54551.35111.5447.06511.19200
Overige niet-vlottende activa 1,506.2131,523.7781,489.0291,485.7761,497.0651,436.8651,408.2571,382.2181,364.748908.6672,329.9962,358.3372,337.02417.4592,226.42626.55660.18763.03214.744-709.607-623.327
Totaal niet-vlottende activa 1,656.8571,662.0461,637.1931,653.11,660.6251,604.5681,581.5141,553.8191,538.0831,074.6012,487.4762,519.8532,572.5112,575.0552,424.5782,385.272,304.4612,141.806772.588730.124667.408
Totaal activa 2,071.9312,092.2312,064.1412,093.7372,119.9982,064.1932,014.152,059.0742,244.7092,141.9973,141.6883,371.1683,614.9783,800.6433,675.8973,809.3753,900.4453,596.72,037.5271,850.3081,637.153
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15.37116.07113.00414.04313.5668.377.177.6276.818.27212.21619.6632.07977.154112.845188.69200520.874330.549290.279
Kortlopende schulden 66.18599.486124.67341.35827.33123.327174.968693.113554.354317.006330.8081,102.859902.867533.419501.3591,056.561243.4911,375.958104.464132.24680.961
Belastingschulden 004.6850.5910.6230.5840.5950.5841.2671.0460.4040.9990.3212.7285.6324.29500000
Uitgestelde opbrengsten 5.72229.47928.42228.29929.50523.23524.06617.66220.7918.66960.362100.813194.19559.39987.82211.305003.6934.155.129
Overige kortlopende verplichtingen 120.0311.4821.281.2590.9930.8880.7950.7760.4690.50217.22320.93819.13419.32318.12119.697662.269745.25254.49108.23478.697
Totaal kortlopende verplichtingen 207.309146.518167.37984.95971.39555.82206.999719.178582.423344.449420.6091,244.271,148.275689.295720.1461,376.255905.762,121.21683.521575.179455.066
Langlopende verplichtingen:
Langetermijnschulden 408.897465.677497.123528.061559.511586.547584.444157.585761.6631,456.2451,961.721,384.2291,356.9062,043.9091,912.6291,516.1281,876.261469.728593.553451.563462.188
Uitgestelde opbrengsten niet-vlottend 5.72218.22418.02917.57518.56610.2449.5499.4349.27110.00210.71733.94465.6910220.99618.731049.18922.79800
Uitgestelde belastingverplichtingen niet-vlottend 189.852193.613183.591172.262173.47164.856155.2150.715135.56216.11824.25523.15136.30326.44323.18540.18451.9240.9294.85100
Overige niet-vlottende verplichtingen 29.75915.24117.17817.09616.70513.2213.70413.42613.60413.61318.77918.59820.99646.00223.17422.61987.60428.26613.437192.126170.457
Totaal niet-vlottende verplichtingen 634.23692.755715.921734.994768.252774.867762.897331.16920.11,495.9782,015.4711,459.9221,479.8962,116.3542,179.9841,597.6622,015.785588.112634.639643.689632.645
Totaal passiva 841.539839.273883.3819.953839.647830.687969.8961,050.3381,502.5231,840.4272,436.082,704.1922,628.1712,805.6492,900.132,973.9172,921.5452,709.3221,318.161,218.8681,087.711
Eigen vermogen:
Preferente aandelen 0000001.8920.9690000000000000
Gewone aandelen 196.864196.864196.864196.864196.864196.864154.754154.754110.5873.76973.76966.5766.5766.5766.5766.5766.5766.5766.5766.5766.57
Ingehouden winsten 24.70258.13957.8612.11344.87740.15930.461115.69617.205-39.614-51.025-319.231.2381.117-54.1540140.444160.871137.28128.859111.716
Overige gereserveerde algehele resultaten 449.709459.252386.279317.921315.144273.738-1.892-0.96968.737000000000000
Overige totale aandeelhoudersvermogen 496.264462.827463.105518.853480.338486.767621.117506.467317.716131.064168.364410.506393.903413.51496.431231.97195.138238.463267.241225.613203.294
Totaal eigen vermogen van aandeelhouders 1,167.5391,177.0821,104.1091,035.7511,037.223997.528806.332776.917514.238165.219191.108157.846461.711481.197508.847298.54402.152465.904471.091421.042381.58
Totaal eigen vermogen 1,230.3921,252.9581,180.8411,273.7841,280.3511,233.5061,044.2541,008.736742.186301.57705.608666.976986.807994.994775.767566.999690.526676.641595.229526.241465.511
Totaal passiva en aandeelhoudersvermogen 2,071.9312,092.2312,064.1412,093.7372,119.9982,064.1932,014.152,059.0742,244.7092,141.9973,141.6883,371.1683,614.9783,800.6433,675.8973,809.3753,900.4453,596.72,037.5271,850.3081,637.153