Ströer SE & Co. KGaA

FSX:SAX.DE

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 72.31371.98562.97384.526102.205103.11479.69761.58454.61342.29635.85822.302134.041106.1257.25742.49977.95738.326
Kortetermijnbeleggingen 4.9984.4325.0114.1875.1024.726.7066.80427.7256.33.9295.8428.556-4.606-5.871-6.464-18.788-8.761
Liquide middelen en kortetermijnbeleggingen 72.31376.41767.98488.713107.307107.83486.40368.38882.33848.59639.78728.144142.597106.1257.25742.49977.95738.326
Nettovorderingen 237.124286.911260.76212.951229.133213.505228.463197.072154.566118.406123.50996.14759.68985.66244.07000
Voorraad 48.52729.41124.05915.52716.74716.76114.61616.1922.6120.9282.8855.4515.4165.0754.0864.55.5824.483
Overige vlottende activa 40.9913.494.0373.8782.5112.7011.3392.1511.3521.1221.1270.72220.65425.72128.41893.92579.44874.122
Totaal vlottende activa 398.955396.229356.84321.069355.698340.801330.821283.803240.868169.052167.308130.464228.356222.578133.831140.924162.987116.931
Niet-vlottende activa:
Materiële vaste activa, netto 1,210.7861,220.0811,214.0441,147.3021,246.3161,299.214258.861230.772201.21198.743206.666225.873221.813212.99180.854184.044166.692161.313
Goodwill 918.049917.279915.287916.308909.165907.283855.092777.563655.071310.365309.43226.12100180.186184.781185.918185.559
Immateriële activa 135.242145.544151.986186.115318.242352.393362.458366.858308.407230.138253.991262.007502.545529.726209.095218.866229.462238.603
Goodwill en immateriële activa 1,053.291,062.8231,067.2731,102.4231,227.4071,259.6761,217.551,144.421963.478540.503563.421488.128502.545529.726389.281403.647415.38424.163
Langetermijnbeleggingen 25.66222.05833.95623.12723.81226.50921.1422.558-0.86418.737-3.221-4.675-6.5514.7025.9926.60719.8439.006
Belastingvorderingen 328.9741.67330.00711.20516.29116.43612.68616.6212.7714.3087.2924.3715.5079.35630.60115.24513.07517.439
Overige niet-vlottende activa 9.01113.30415.61216.50158.90553.66233.58126.69240.88920.60715.66219.56220.956.0298.00338.4191.79746.439
Totaal niet-vlottende activa 2,627.7192,359.9392,360.8922,300.5582,572.7312,655.4971,543.8181,441.0631,217.484782.898789.82733.258754.264762.803614.731647.963616.788658.359
Totaal activa 3,026.6742,756.1692,717.7322,621.6262,928.4282,996.2961,874.6371,724.8651,458.351951.951957.13863.721982.62985.381748.562788.887779.775775.29
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 220.45125.359226.463161.774294.48192.401141.703154.573120.54880.04569.05753.20977.49867.61550.93757.11270.74965.194
Kortlopende schulden 315.327172.746388.336283.756174.703204.28913.47543.01129.80428.316.1620.873000000
Belastingschulden 27.60644.65341.57864.99861.65757.56680.49771.89741.10823.74417.0226.86713.1218.3926.50112.1618.6994.906
Uitgestelde opbrengsten 107.351273.957183.848244.944189.38157.566237.255213.566154.356101.15102.63183.393000000
Overige kortlopende verplichtingen 199.227127.27127.58470.68870.39422869.56262.87550.59620.69125.33723.435115.82496.14877.645126.03476.04168.94
Totaal kortlopende verplichtingen 842.355699.332926.231761.162728.958682.256461.995474.025355.304230.186213.185180.91193.322163.763128.581183.146146.79134.134
Langlopende verplichtingen:
Langetermijnschulden 640.0111,451.4541,189.2681,268.4991,424.8531,482.278496.343356.036256.807296.618330.939298.44413.10700000
Uitgestelde opbrengsten niet-vlottend 682.77991.38294.77103.84895.70194.907171.067163.781051.889049.6831.33400000
Uitgestelde belastingverplichtingen niet-vlottend 317.56838.79522.30111.56351.98167.89577.00571.33968.70453.12157.34755.11771.4461.64975.57578.9381.893103.513
Overige niet-vlottende verplichtingen 99.0891.5051.304-1.146-0.004-0.001-0.0010.001102.327-0.00159.628-0.001-0.04463.389587.775526.811550.914537.644
Totaal niet-vlottende verplichtingen 1,739.4471,583.1361,307.6431,382.7641,572.5311,645.079744.414591.157427.838401.627447.914403.236515.841525.038663.35605.741632.807641.157
Totaal passiva 2,581.8022,282.4682,233.8742,143.9262,301.4892,327.3351,206.4091,065.182783.142631.813661.099584.146709.163688.801791.931788.887779.597775.29
Eigen vermogen:
Preferente aandelen 04.8577.6897.7224.7960000000000000
Gewone aandelen 55.70656.08156.69256.64756.57756.17255.55855.28255.28248.8748.8742.09842.09842.0980.5120.5120.5120.512
Ingehouden winsten -377.374-340.047-336.837-333.081-182.013-121.652-43.119-67.664-53.363-49.956-65.681-47.8380-44.5210000
Overige gereserveerde algehele resultaten -3.632-4.857-7.689-7.722-4.796-485.504-317.257-304.582-287.221-269.349-245.632-223.485-196.52-171.6470000
Overige totale aandeelhoudersvermogen 761.335748.2754.652747.155742.6911,214.049958.753953.807949.498571.162539.652495.381459.883449.25-60.264-17.637-17.454-17.232
Totaal eigen vermogen van aandeelhouders 436.035464.234474.507470.721617.255663.065653.935636.843664.196300.727277.209266.156305.461275.18-59.752-17.125-16.942-16.72
Totaal eigen vermogen 444.872473.701483.858477.7626.939668.961668.228659.683675.209320.138296.031279.575273.457296.58-43.37-00.178-0
Totaal passiva en aandeelhoudersvermogen 3,026.6742,756.1692,717.7322,621.6262,928.4282,996.2961,874.6371,724.8651,458.351951.951957.13863.721982.62985.381748.562788.887779.775775.29