Sulzer Ltd

SIX:SUN.SW

129.4 (CHF) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 974.71,196.31,505.41,123.21,035.51,095.2488.8429.51,0091,194.7528.7507.3422.6668.1730.6447.2363.6330.6501.1408358326
Kortetermijnbeleggingen 2.31426.7305.157.5000208.3106.805.88.112.736.541.320.93149.836.300
Liquide middelen en kortetermijnbeleggingen 9771,210.31,532.11,428.31,0931,095.2488.8429.51,217.31,301.5528.7513.1430.7680.8767.1488.5384.5361.6550.9444.3358326
Nettovorderingen 1,211.51,172.21,072.41,052.51,131.5827.4901.8883.2851.1955.9877.5000000000599572
Voorraad 495.1586.8540.3575648.5658.9488401.7409.3487.5436.5622.9675.4533.8512.8695.3762.1621.4528442.6356369
Overige vlottende activa -0.166.731.431.364.5259.1248.2211.6411.4333809.71,2441,231.1981.5903.91,043.41,020.1823.1712.9576.42781
Totaal vlottende activa 2,683.53,0363,176.23,087.12,937.52,840.62,126.81,9262,680.82,971.12,652.42,3802,337.22,196.12,183.82,227.22,166.71,806.11,791.81,463.31,3401,348
Niet-vlottende activa:
Materiële vaste activa, netto 441.5450.6483.2666.5657527531.6511491.4530.7492650619.5531.6558.1605.8655629.3568.2580.3606675
Goodwill 637.9676.9727.3946920.8923.4865.7780.1679.8693.7978.41,092.70482.500402.2390.4319.5501.700
Immateriële activa 197911.21,003.81,3471,350.9433.9413.5329.1241.2297.4301.3354.31,435.2146.5511.9491.5112.9121.722.8-174.4343323
Goodwill en immateriële activa 834.91,588.11,731.12,2932,271.71,357.31,279.21,109.2921991.11,279.71,4471,435.2629511.9491.5515.1512.1342.3327.3343323
Langetermijnbeleggingen 90.871.248.836.129.722.814.510.38.514.411.1028.123.2-4.4-832.624.94642.200
Belastingvorderingen 144.9225.2233.3215.8187.3192.7139.7212.9187126.892.494.5100.190.392.16963.954.145.145.74931
Overige niet-vlottende activa 173.8-675.6-593.1-870.2-920.8-192.7-139.7-212.9-187-126.8-92.422.420.321.542.744.727.538.750.936.38173
Totaal niet-vlottende activa 1,685.91,659.51,903.32,341.22,224.91,907.11,825.31,630.51,420.91,536.21,782.82,213.92,203.21,295.61,200.41,2031,294.11,259.11,052.51,031.81,0791,102
Totaal activa 4,369.54,695.55,079.55,428.35,162.44,898.34,117.33,735.94,254.84,6534,543.94,593.94,540.43,491.73,384.23,430.23,460.83,065.22,844.32,495.12,4192,450
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 367.7461.4458.5482.8531.7521.8433.8379.3323.8383.6345.6419.9386285.2243.7317.3383301.6254.1216.2155164
Kortlopende schulden 285333.8369.8261.3158.418255.17.1514.417.756.678.1236.283.847.5156.5157.93033.616.845126
Belastingschulden 75.53040.238.733.33254.213.99.975.260.190.549.536.874.259.4109.410269.8205846
Uitgestelde opbrengsten 1,365.7520.1492.8416.8344.8387-255.1-7.1-514.4-17.7-56.6874.6220.8192.5260.4195.40000258267
Overige kortlopende verplichtingen 127.2927.6841.2812.9836.6683.61,081785.31,224.7832.91,032.357691.5680.9716.5898.11,024.8768.3595.5481.5219189
Totaal kortlopende verplichtingen 2,145.62,242.92,162.31,973.81,871.51,610.41,514.81,164.61,548.51,216.51,377.91,429.61,534.51,242.41,268.11,567.31,565.71,099.9883.2714.5677746
Langlopende verplichtingen:
Langetermijnschulden 864.21,043.91,164.61,491.31,199.21,316.3458.7458.36.5509.7515.1533531.444.24925.928.131.9212.6215.4202209
Uitgestelde opbrengsten niet-vlottend 176.767.264.590.282.31,173353.9307.4-116.2416413.6210.1236.6214.3179.1177.2436.7217.535.4-24.52119
Uitgestelde belastingverplichtingen niet-vlottend 83.2128.3153.2149.8132.3143.3104.8150.9122.793.7101.5116.513388.365.672.376.182.239.742.14447
Overige niet-vlottende verplichtingen 1.2184.5255.6306283.3-1,316.3-458.7-458.3-6.5-509.7-515.10.81.11.333.541.2-201.189.4172.4222.2192192
Totaal niet-vlottende verplichtingen 1,125.31,423.91,637.92,037.31,697.11,316.3458.7458.36.5509.7515.1860.4902.1348.1327.2316.6339.8421460.1455.2459467
Totaal passiva 3,270.93,666.83,800.24,011.13,568.63,257.22,414.92,144.92,020.62,2112,203.22,2902,436.61,590.51,595.31,883.91,905.51,520.91,343.31,169.71,1361,213
Eigen vermogen:
Preferente aandelen 847.70000460367.5426.4419.2261.8330.100000000000
Gewone aandelen 0.30.30.30.30.30.30.30.30.30.30.30.30.30.30.30.30.10.10.10.100
Ingehouden winsten 1,979.51,777.71,967.72,083.82,125.42,123.52,069.42,024.22,661.42,720.32,691.12,602.300001,934.91,711.71,540.91,430.100
Overige gereserveerde algehele resultaten -847.7-710.8-643.2-641.5-519.4-460-367.5-426.4-419.2-261.8-330.100000000000
Overige totale aandeelhoudersvermogen -884.4-42.9-51-38.3-25.6-493.9-389.6-443.3-437-285.2-357-305.52,097.51,894.71,777.21,538-387.9-174.9-52.5-116.11,2711,225
Totaal eigen vermogen van aandeelhouders 1,095.41,024.31,273.81,404.31,580.71,629.91,680.11,581.22,224.72,435.42,334.42,297.12,097.81,8951,777.51,538.31,547.11,536.91,488.51,314.11,2711,225
Totaal eigen vermogen 1,098.61,028.71,279.31,417.21,593.81,641.11,702.41,5912,234.22,4422,340.72,303.92,103.81,901.21,788.91,546.31,555.31,544.31,5011,325.41,2831,237
Totaal passiva en aandeelhoudersvermogen 4,369.54,695.55,079.55,428.35,162.44,952.14,117.33,791.24,308.14,648.24,543.94,593.94,540.43,491.73,384.23,430.23,460.83,065.22,844.32,495.12,4192,450