Banco de Sabadell, S.A.

MSE:SAB.MC

1.7935 (EUR) • At close November 7, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 37,13846,12350,378.81936,814.09716,937.79725,908.8328,132.37514,008.3837,450.8732,625.9255,528.7653,411.0262,242.5271,253.61,820.1572,793.823,108.9813,464.197553.449532.5442,725.7352,807.886
Kortetermijnbeleggingen 0000000000000000000000
Liquide middelen en kortetermijnbeleggingen 37,13846,12350,378.81936,814.09716,937.79725,908.8328,132.37514,008.3837,450.8732,625.9255,528.7653,411.0262,242.5271,253.61,820.1572,793.823,108.9813,464.197553.449532.5442,725.7352,807.886
Nettovorderingen 00580135,570.689122,807.617129,403.778132,858.451132,632.73792,536.49593,343.05389,128.12660,652.668000000060.0160.242
Voorraad 00-52,282.4560-19,735.243-31,373.496-30,341.163-22,956.16300000000000000
Overige vlottende activa 33,915.50946,222.52252,282.45639,346.22119,735.24331,373.49630,341.16322,956.16300000000000000
Totaal vlottende activa 37,13846,12350,436.81936,814.097152,508.486148,716.447157,536.153146,866.834140,083.6195,162.4298,871.81892,539.15262,895.1951,253.61,820.1572,793.823,108.9813,464.197553.449532.5442,785.7452,868.128
Niet-vlottende activa:
Materiële vaste activa, netto 2,2972,5822,397.492,852.2872,947.771,796.6821,861.732,071.3531,846.6211,613.2871,657.3271,450.485877.935900.519962.709999.869971.824976.073753.6761,494.555452.289454.86
Goodwill 1,018.3111,026.811,026.4571,026.1051,031.8241,032.6181,019.441,094.5261,092.7771,084.1461,073.209827.931823.815748.622490.93527.821570.454481.2682.6961.785194.021217.664
Immateriële activa 1,464.7631,457.3521,554.9641,569.9781,533.1591,428.5241,226.4181,040.689987.793507.15428.528337.141198.34682.679179.05190.715145.338146.02848.52435.01925.81313.01
Goodwill en immateriële activa 2,4832,4842,581.4212,596.0832,564.9832,461.1422,245.8582,135.2152,080.571,591.2961,501.7371,165.0721,022.161831.301669.98718.536715.792627.29651.2236.804219.834230.674
Langetermijnbeleggingen 32,95033,39123,740.88728,257.56329,905.6424,822.27619,049.21821,909.81628,752.41927,464.10325,197.96534,127.92316,963.32213,606.77310,728.5249,198.9435,773.5455,871.2275,013.8873,470.5282,611.8762,395.061
Belastingvorderingen 6,385.5316,644.5076,707.5276,644.7386,515.9326,547.1336,531.8486,775.33700000000000000
Overige niet-vlottende activa -6,385.531-6,644.507-6,707.527-6,644.738-6,515.932-6,547.133-6,531.848-6,775.337-32,679.61-30,668.686-28,357.029-36,743.48-18,863.418-15,338.593-12,361.213-10,917.348-7,461.161-7,474.596-5,818.783-5,001.887-3,283.999-3,080.595
Totaal niet-vlottende activa 37,73038,45728,719.79833,705.93335,418.39329,080.123,156.80626,116.38432,679.6130,668.68628,357.02936,743.4818,863.41815,338.59312,361.21310,917.3487,461.1617,474.5965,818.7835,001.8873,283.9993,080.595
Totaal activa 235,173251,380251,946.591235,763.292223,753.641222,322.421221,348.315212,507.719208,627.771163,345.673163,441.47161,547.085100,437.3897,099.20982,822.88680,378.06576,776.00272,779.8333,389.6263,096.96930,511.55227,224.222
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,138.6271,032.869672.355607.792537.099647.274730.746626.516000000034.99134.164973.5020025.70413.609
Kortlopende schulden 19,829.17430,891.5046,522.3677,178.778,558.49510,133.46614,340.63411,930.64300000000000000
Belastingschulden 33322781.15939.68942.6378.783106.482236.27588.21466.09477.494154.2871.46687.29775.42340.76660.632268.02431.92531.366124.445176.158
Uitgestelde opbrengsten -18,690.547-29,858.635-5,850.012-6,570.978-8,021.396-9,486.192-13,609.888-11,304.12700000000000000
Overige kortlopende verplichtingen -1,138.627-1,032.869-672.355-607.792-537.099-647.274-730.746-626.5160000000-34.991-34.164-973.50200-25.704-13.609
Totaal kortlopende verplichtingen 1,138.6271,032.869672.355607.792537.099647.274730.746626.516000000034.99134.164973.5020025.70413.609
Langlopende verplichtingen:
Langetermijnschulden 25,79122,57822,837.2323,761.73726,496.45325,914.55827,487.8334,428.34534,552.95921,208.69122,255.96126,492.87719,502.46521,894.126024,403.9329,306.39326,094.30416,134.2712,254.9067,354.8373,798.681
Uitgestelde opbrengsten niet-vlottend 25,676.03-113.71722,713.46523,595.2226,298.287-167.2327,062.37433,886.0800000000000000
Uitgestelde belastingverplichtingen niet-vlottend 114.97113.717123.765166.517198.166167.23425.456542.26500000000000000
Overige niet-vlottende verplichtingen -25,791-21,545.131-22,837.23-23,761.737-26,496.453-25,267.284-27,487.83-34,428.345-34,552.959-21,208.691-22,255.961-26,492.877-19,502.465-21,894.1260-24,403.93-29,306.393-26,094.304-16,134.27-12,254.906-7,354.837-3,798.681
Totaal niet-vlottende verplichtingen 25,7911,032.86922,837.2323,761.73726,496.453647.27427,487.8334,428.345195,860.11152,129.721153,035.879152,286.31394,503.23691,410.666024,403.9329,306.39326,094.30416,134.2712,254.9067,354.8373,798.681
Totaal passiva 25,791238,156238,950.31223,271.654210,779.235210,205.421208,126.534199,424.743195,860.11152,129.721153,035.879152,286.31394,503.23691,410.66677,525.51675,93072,171.49868,584.41716,134.2712,254.90627,829.23424,682.509
Eigen vermogen:
Preferente aandelen 0000000000000000000000
Gewone aandelen 680703703.371703.371703.371703.371703.371702.019679.906503.058501.435369.944173.881157.954150150153.002153.002153.002153.002749.609749.609
Ingehouden winsten 1,3328595,971.4235,446.6245,626.503328.102801.466710.432708.441371.677247.83281.891231.902380.04522.489673.835782.335908.398453.405373.196246.31231.175
Overige gereserveerde algehele resultaten 5,509.2464,611.1334,403.1133,854.814,310.8823,594.2023,988.0323,84100000000000000
Overige totale aandeelhoudersvermogen 6,322.7547,016.8671,893.3942,415.1992,264.3047,427.7867,667.7367,779.85711,342.20410,286.4249,598.0818,349.7625,481.1495,116.6834,597.53,610.1673,647.9173,116.5132,767.2142,556.9641,322.7041,196.45
Totaal eigen vermogen van aandeelhouders 13,84413,19012,971.30112,420.00412,905.0612,053.46113,160.60513,033.30812,730.55111,161.15910,347.3488,801.5975,886.9325,654.6775,269.9894,434.0024,583.2544,177.9133,373.6213,083.1622,318.6232,177.234
Totaal eigen vermogen 13,87813,22412,996.28112,491.63812,974.40612,11713,221.78113,082.97612,767.66111,215.95210,405.5919,260.7725,934.1445,688.5435,297.374,448.0654,604.5044,195.4163,389.6263,096.9692,682.3182,541.713
Totaal passiva en aandeelhoudersvermogen 235,173251,380251,946.591235,763.292223,753.641222,322.421221,348.315212,507.719208,627.771163,345.673163,441.47161,547.085100,437.3897,099.20982,822.88680,378.06576,776.00272,779.8333,389.6263,096.96930,511.55227,224.222