Symrise AG

FSX:SY1.DE

110.1 (EUR) • At close November 4, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 393.026314.857453.808725.136445.9279.595229.505301.648278.178199.228135.343117.445118.608112.21580.5468.8679.2565.2854.345
Kortetermijnbeleggingen 0011.33515.17511.9197.83524.01226.787.5144.4690.6880.90911.673000000
Liquide middelen en kortetermijnbeleggingen 393.026314.857465.143740.311457.819287.43253.517328.428285.692203.697136.031118.354130.281112.21580.5468.8679.2565.2854.345
Nettovorderingen 1,011.248988.355849.303616.717670.155622.137582.974622.348557.537503.477366.368355.2350000254.638245.012230.831
Voorraad 1,255.8451,327.559987.961862.887889.239844.874751.511680.431531.446484.69368.567347.841313.011305.031234.779258.974239.741214.526208.787
Overige vlottende activa 40.05643.0739.13879.82479.44581.01877.5073.6812.8213.6031.4021.43358.497318.977300.651264.805265.927254.288242.802
Totaal vlottende activa 2,700.1752,683.8412,329.9122,299.7392,096.6581,835.4591,665.5091,634.8881,377.4961,195.467872.368822.86801.789736.223615.97592.639584.918534.094505.934
Niet-vlottende activa:
Materiële vaste activa, netto 1,669.0091,565.8871,320.9351,205.2141,215.011,036.093901.62857.378690.135639.683439.622438.117431.451418.738386.021388.414281.718284.565286.287
Goodwill 1,882.6161,902.0771,690.0891,381.7461,863.8561,206.1211,182.6971,272.8831,124.3911,091.405490.716491.3150000000
Immateriële activa 889.791997.924791.828812.314636.826706.334783.193840.317881.098942.92321.64313.685834.269863.394837.667856.263000
Goodwill en immateriële activa 2,772.4072,900.0012,481.9172,194.062,500.6821,912.4551,965.892,113.22,005.4892,034.325812.356805834.269863.394837.667856.263763.013794.921849.531
Langetermijnbeleggingen 582.416521.025378.95582.00215.9515.031-16.389-13.2796.82811.31819.7913.967-4.4872.8177.8624.454000
Belastingvorderingen 242.38957.51102.725124.04899.17386.452106.17102.80578.2181.29446.19260.74419.82134.13543.90944.392000
Overige niet-vlottende activa 58.6554.69928.29434.70629.73634.88951.82157.85525.67437.74920.09411.19615.3333.6913.8024.517161.274189.557150.427
Totaal niet-vlottende activa 5,324.8715,099.1224,312.8263,640.033,860.5513,084.923,009.1123,117.9592,806.3362,804.3691,338.0541,329.0241,296.3871,322.7751,279.2611,298.041,206.0051,269.0431,286.245
Totaal activa 8,025.0467,782.9636,642.7385,939.7695,957.2094,920.3794,674.6214,752.8474,183.8323,999.8362,210.4222,151.8842,098.1762,058.9981,895.2311,890.6791,790.9231,803.1371,792.179
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 489.324529.605412.786334.178332.497315.806276.229254.383234.702213.527150.799133.113118.237101.44977.07982.1772.42467.38171.992
Kortlopende schulden 48.57654.207375.54331.9524.382623.34188.974536.33635.995120.31940.999108.864138.365178.15289.941347.646000
Belastingschulden 118.04998.055131.785109.438120.65138.24299.24293.44104.877111.24968.66758.29941.9165.0941.32248.89848.10228.78524.036
Uitgestelde opbrengsten 118.0490267.822224.642229.16138.242197.413198.184189.501195.533117.12103.747.45570.36147.22950.614000
Overige kortlopende verplichtingen 280.632387.50488.41466.11856.822140.98840.76539.00741.22830.18219.18419.074104.058100.1788.75367.586-72.424-67.381-71.992
Totaal kortlopende verplichtingen 936.581971.3161,144.565656.8381,142.8611,218.377603.3811,027.91501.426559.561328.102364.751408.115450.13503.002548.01672.42467.38171.992
Langlopende verplichtingen:
Langetermijnschulden 2,343.4932,493.2081,425.1842,040.8551,538.2111,036.0181,538.7641,213.5451,373.261,244.659506.741450.066461.833455.332364.576362.792000
Uitgestelde opbrengsten niet-vlottend 152.2470653.27720.546638.923544.194561.606568.33487.883518.112353.906386.989235.463215.641218.614192.016000
Uitgestelde belastingverplichtingen niet-vlottend 371.551212.877161.498154.441167.748171.975195.861203.956227.848240.91468.39970.89173.02178.557102.957111.792000
Overige niet-vlottende verplichtingen 534.974495.1315.9625.4285.0335.4075.6736.9325.184.4172.2112.5646.00917.22117.11827.668000
Totaal niet-vlottende verplichtingen 3,402.2653,201.2162,245.9142,921.272,349.9151,757.5942,301.9041,992.7632,094.1712,008.102931.257910.51776.326766.751703.265694.268000
Totaal passiva 4,338.8464,172.5323,390.4793,578.1083,492.7762,975.9712,905.2853,020.6732,595.5972,567.6631,259.3591,275.2611,184.4411,216.8811,206.2671,242.2841,148.211,252.4961,766.446
Eigen vermogen:
Preferente aandelen 0157.49418.593679.852408.03700000000000000
Gewone aandelen 139.772139.772139.772135.427135.427129.813129.813129.813129.813129.813118.173118.173118.173118.173118.173118.173118.173118.1731.914
Ingehouden winsten 1,581.0191,388.3681,286.2471,048.25881.696705.668567.234408.111259.21112.16910.219-199.342-172.267-247.898-322.379-347.64197.436-89.848-52.406
Overige gereserveerde algehele resultaten -270.241-157.49-418.593-679.852-408.037-916.783-830.577-796.23-706.06-661.454-437.592-413.79-384.492-339.894-301.1280000
Overige totale aandeelhoudersvermogen 2,180.7222,023.2321,761.8841,118.1781,390.0491,973.2941,846.2761,930.351,885.3691,833.6651,260.2631,371.5821,352.3211,311.7361,194.298877.863427.104522.31676.225
Totaal eigen vermogen van aandeelhouders 3,631.2723,551.3723,187.9032,301.8552,407.1721,891.9921,712.7461,672.0441,568.3321,414.193951.063876.623913.735842.117688.964648.395642.713550.64125.733
Totaal eigen vermogen 3,686.23,610.4313,252.2592,361.6612,464.4331,944.4081,769.3361,732.1741,588.2351,432.173951.063876.623913.735842.117688.964648.395642.713550.64125.733
Totaal passiva en aandeelhoudersvermogen 8,025.0467,782.9636,642.7385,939.7695,957.2094,920.3794,674.6214,752.8474,183.8323,999.8362,210.4222,151.8842,098.1762,058.9981,895.2311,890.6791,790.9231,803.1371,792.179