Telenet Group Holding NV

EBR:TNET.BR

21.28 (EUR) • At close October 13, 2023
Overzicht | Financiële gegevens

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

2022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,064.4139.582101.488.1639.05399.203277.273189.076214.103906.3346.597639.581145.70965.64176.61158.844210.359145.188
Kortetermijnbeleggingen 0-57.2-93.7-77.5-14.31741.56922.82500001.98800031.182000
Liquide middelen en kortetermijnbeleggingen 1,064.4139.582101.488.1639.05399.203277.273189.076214.103906.3348.585639.581145.70965.641107.79358.844210.359145.188
Nettovorderingen 471.4360.2359.3395.9280391.298348.219211.566185.597196.285196.09693.62380.14173.28167.76700116.918105.637
Voorraad 28.226.527.325.228.01221.51921.70219.26117.0615.38617.7889.13912.61211.3054.106008.2120
Overige vlottende activa 12.66.92.40.73.9181.7185.7943.9043.9376.2143.5618865.01647.62638.63319.84824.3990.2150
Totaal vlottende activa 1,576.6533.1471523.2519.139453.588474.918512.004395.67431.9881,123.745539.347797.35277.921176.147238.412188.832335.704250.825
Niet-vlottende activa:
Materiële vaste activa, netto 2,197.12,114.82,2882,366.82,237.4562,146.3312,046.8241,411.9331,417.5391,386.0531,337.4791,301.1211,310.2021,314.9681,286.1281,008.556973.379943.919960.776
Goodwill 1,829.61,823.81,824.51,874.61,830.1811,848.4431,540.9461,241.8131,241.8131,241.8131,241.7981,241.7981,241.7981,240.3761,186.2771,096.0331,148.7451,012.5441,031.904
Immateriële activa 1,231.7783693.6790.2729.899712.17709.175241.061248.386251.916340.963409.484313.559308.645357.78259.116278.813278.347276.333
Goodwill en immateriële activa 3,061.32,606.82,518.12,664.82,560.082,560.6132,250.1211,482.8741,490.1991,493.7291,582.7611,651.2821,555.3571,549.0211,544.0571,355.1491,427.5581,290.8911,308.237
Langetermijnbeleggingen 0173201.699.985.366-6.4725.03582.22.8085.45512.125-1.8014.9319.37200000
Belastingvorderingen 190169214.7261.4247.101236.578135.532108.493101.98482.11742.30310.72119.905116.363060.647000
Overige niet-vlottende activa 561.86.885.87.33963.02895.02583.1813.6967.68314.84841.0649.86614.97216.3971.8682.3190.861.009
Totaal niet-vlottende activa 6,010.25,070.45,230.45,398.75,137.3425,000.0784,532.5373,086.4813,013.4182,969.5822,977.3913,002.3872,895.332,995.3242,846.5822,426.222,403.2562,235.672,270.022
Totaal activa 7,586.85,603.55,701.45,921.95,656.4815,453.6665,007.4553,598.4853,409.0883,401.574,101.1363,541.7343,692.683,273.2453,022.7292,664.6322,592.0882,571.3742,520.847
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 207.9166.5174.9247.7184.657149.976182.284133.512114.377141.826148.141147.341109.34182.1860230.369180.473174.701149.477
Kortlopende schulden 535.4498.8499.6527504.128361.695139.372110.55878.75777.90972.48655.40240.31932.43434.5318.52975.426156.12920.009
Belastingschulden 195.6189.4218.8261.7344.531314.272276.901215.949190.59120.15150.7594.460.3060.0650001.6162.275
Uitgestelde opbrengsten 0808.8832.7872.6344.531900.642836.747588.116558.944518.394453.026000065.7579.492159.284124.443
Overige kortlopende verplichtingen 92524.825.237.3642.8591,002.562894.932632.546591.66547.904516.48439.908402.14394.255446.137189.245202.671187.005187.453
Totaal kortlopende verplichtingen 1,668.31,498.91,532.41,684.61,676.1751,514.2331,216.588876.616784.794767.639737.107642.651551.8508.875480.667438.143458.57517.835356.939
Langlopende verplichtingen:
Langetermijnschulden 6,119.55,080.34,918.35,2065,161.0294,462.2114,642.4853,683.323,654.7313,790.423,770.5462,904.1312,837.3772,291.5382,282.1271,999.9011,330.8431,288.7851,560.755
Uitgestelde opbrengsten niet-vlottend 2.33.63.63.82.8691.0510.6750.6481.7092.6822.5664.386.4288.56510.7040000
Uitgestelde belastingverplichtingen niet-vlottend 201.1111.7124.7172.4156.168132.397166.047124.512133.448109.43683.75629.1145.54445.68516.83815.034000
Overige niet-vlottende verplichtingen 100.2272.1576.4342.1285.746435.243189.303116.848196.685201.787221.377209.69174.05958.52662.23141.49181.01855.656112.193
Totaal niet-vlottende verplichtingen 6,423.15,467.75,6235,724.35,605.8125,030.9024,998.513,925.3283,986.5734,104.3254,078.2453,147.3162,923.4082,404.3142,371.92,056.4261,411.8611,344.4411,672.948
Totaal passiva 8,091.46,966.67,155.47,408.97,281.9876,545.1356,215.0984,801.9444,771.3674,871.9644,815.3523,789.9673,475.2082,913.1892,852.5672,494.5691,870.4311,862.2762,029.887
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 12.812.812.812.812.79912.79912.75812.75112.71112.58212.331294.19797.351,041.8121,089.5991,081.0982,543.0322,532.5042,268.124
Ingehouden winsten -1,308.4-2,148.1-2,249.9-2,287.8-2,444.61-2,099.658-2,190.107-2,224.874-2,394.309-2,465.933-1,674.3-1,548.156-1,559.845-1,584.352-1,817.442-1,802.222-1,822.891-1,828.344-1,751.677
Overige gereserveerde algehele resultaten 0000000000000000000
Overige totale aandeelhoudersvermogen 770.6768.8754.7762.9783.428973.535951.334992.0161,008.562974.665941.5871,005.724979.967902.596898.005891.1871.5164.938-25.487
Totaal eigen vermogen van aandeelhouders -525-1,366.5-1,482.4-1,512.1-1,648.383-1,113.324-1,226.015-1,220.107-1,373.036-1,478.686-720.382-248.242217.472360.056170.162170.063721.657709.098490.96
Totaal eigen vermogen -504.6-1,363.1-1,454-1,487-1,625.506-1,091.469-1,207.643-1,203.459-1,362.279-1,470.394-714.216-248.233217.472360.056170.162170.063721.657709.098490.96
Totaal passiva en aandeelhoudersvermogen 7,586.85,603.55,701.45,921.95,656.4815,453.6665,007.4553,598.4853,409.0883,401.574,101.1363,541.7343,692.683,273.2453,022.7292,664.6322,592.0882,571.3742,520.847