Aktieselskabet Schouw & Co.

CSE:SCHO.CO

535 (DKK) • At close November 17, 2023
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 584712490635538585478.21,682.41,410.71,087.11,324392.7541.3451.6415.4377227.1155.2323.696.4314.858.7
Kortetermijnbeleggingen -193-199-241-41-107-108-137-138.90.10.10.1132.280.91900.700-26.4-32.30704.61,013.7
Liquide middelen en kortetermijnbeleggingen 584712490635538585478.21,682.41,410.81,087.21,324.1524.9622.2641.6416.1377227.1155.2323.696.41,019.41,072.4
Nettovorderingen 6,5186,2375,1004,1034,0843,5962,9343,130.32,752.62,423.52,407.73,405.72,4091,804.72,870.42,098.11,409.215.210.1582.5-1730
Voorraad 8,0039,0435,5143,6923,8683,6832,811.21,970.51,435.11,447.51,151.51,773.11,855.91,505.41,221.91,546.81,415.11,208.91,092.4830.5714.8648
Overige vlottende activa 1696,4777156653,9973,235.73,1592,758.62,600.52,6841.44.18.3-1,2023.346.51,331.91,206.7632769.4541.1
Totaal vlottende activa 15,27516,23211,1748,4868,5558,2656,525.16,811.95,604.55,135.25,159.65,705.14,891.23,9603,306.44,025.23,097.92,711.22,632.82,141.42,330.62,261.5
Niet-vlottende activa:
Materiële vaste activa, netto 7,0146,7885,7655,3815,7834,3173,959.23,450.12,776.22,7152,628.73,151.33,153.22,7872,498.62,591.92,564.52,572.62,552.31,499.61,338.71,346
Goodwill 2,9222,8162,5362,3652,4502,4042,207.71,168.61,006.1970.5876895948.2904889.8850.1502.5502.3649435.1441.3471
Immateriële activa 1,5831,4511,0351,0581,1181,190987.2312.9169.9124.463.7116.1193.8171.3181.5185.8608.8573.6709.665.656.137.1
Goodwill en immateriële activa 4,5054,2673,5713,4233,5683,5943,194.91,481.51,1761,094.9939.71,011.11,1421,075.31,071.31,035.91,111.31,075.91,358.6500.7497.4508.1
Langetermijnbeleggingen 900971891602749697652.3494763.2740.973972.8256.56411,423.52,327.93,987.61,492.8967.50-651.6-460.2
Belastingvorderingen 2031891221041226657.635.518.151.975.2192.7217.1134.144.548.533.2115.679.10-1,062.50
Overige niet-vlottende activa 1-10-10000177.8144.2154.2248.3240.5302.51,314.2123.8-478.1-502.3-64978.31,7911,034.7
Totaal niet-vlottende activa 12,62312,21410,3499,50910,2228,6747,8645,461.14,911.34,746.94,536.84,676.25,009.34,939.96,352.16,1287,218.54,754.64,308.52,078.61,9132,428.6
Totaal activa 27,89628,44521,52417,99418,77716,94014,389.112,27310,515.89,882.19,696.410,381.39,900.58,899.99,658.510,153.210,316.47,465.86,941.34,2204,243.64,690.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,4226,5624,6613,4793,2183,1662,629.92,836.42,1521,867.41,861.82,095.92,055.71,691.11,420.61,398.59581,062.6837312.1229.7215.5
Kortlopende schulden 2,0188371,0698579091,309439.7320.9300315.7438.51,559.42,2871,642.41,556.51,223.91,600.8884.91,645.2680.1547740.4
Belastingschulden 3091807215511414089.3107.131.4131.213.545.234.940.24912.723.679.836.12.31.52.7
Uitgestelde opbrengsten 2,5144852,0591,5291,3901,006907.7593436.5488.8379.5976.343.144.9557.322.930.279.836.1180.73.22.7
Overige kortlopende verplichtingen 282,3064881495644.417.11013.69.416.710.40.6-496.7287.32916.94.2202.7194.7192.3
Totaal kortlopende verplichtingen 9,98210,1907,8375,9465,5665,5374,021.73,767.42,898.52,685.52,689.24,648.34,396.23,3793,037.72,932.62,6182,044.22,522.51,375.6974.61,150.9
Langlopende verplichtingen:
Langetermijnschulden 5,0905,8412,3841,7432,9771,7491,365.7402.2686.6858.41,035.1874.31,021.7967.71,129.41,872.51,267.61,341.91,389.8727.91,196.81,561.4
Uitgestelde opbrengsten niet-vlottend 455459344778491.762.772.90097.837.333.635.637.935.663.8833.73.32.9
Uitgestelde belastingverplichtingen niet-vlottend 488480372357409397308.9188.6147.9151.3127.9125.6127.673.1145.8192.9148.9168.3179.1133.594.967.5
Overige niet-vlottende verplichtingen 735643187-2227514269.237.733.4113.198.2887.751.4556.6482.4604.86.211100.81.71.7
Totaal niet-vlottende verplichtingen 6,3587,0183,0022,4423,6902,7442,035.5691.2940.81,122.81,261.21,105.71,274.31,125.81,867.42,585.72,056.91,580.21,662.9965.91,296.71,633.5
Totaal passiva 16,34017,20810,8398,3889,2568,2816,057.24,458.63,839.33,808.33,950.45,7545,670.54,504.84,905.15,518.34,674.93,624.44,185.42,341.52,271.32,784.4
Eigen vermogen:
Preferente aandelen 1240026300000051.200000000000
Gewone aandelen 255255255255255255255255255255255255255255255280124.7124.7124.7124.7124.7124.7
Ingehouden winsten 10,0649,5359,9829,2578,6587,9947,7487,006.15,895.15,478.25,385.84,124.13,740.23,971.54,2174,233.84,760.43,253.32,1171,608.11,566.91,488.3
Overige gereserveerde algehele resultaten -12413032-26324871314.4535.7505.7133.7-51.200000000000
Overige totale aandeelhoudersvermogen 33742840194358332000204101.8244.8200.9165.1-17.5-319.3-581.8-298.2-382.4-91.5212.8225.6
Totaal eigen vermogen van aandeelhouders 10,65610,34810,6709,6069,5198,6528,317.47,796.86,655.86,070.95,742.64,623.94,196.14,391.64,454.54,194.54,303.33,079.81,859.31,641.31,904.41,838.6
Totaal eigen vermogen 11,55611,23710,6859,6069,5218,6598,331.97,814.46,676.56,073.85,7464,627.34,2304,395.14,753.44,414.74,972.43,460.62,307.61,759.91,972.31,905.7
Totaal passiva en aandeelhoudersvermogen 27,89628,44521,52417,99418,77716,94014,389.112,27310,515.89,882.19,696.410,381.39,900.58,899.99,658.510,153.210,316.47,465.86,941.34,2204,243.64,690.1