Técnicas Reunidas, S.A.

MSE:TRE.MC

11.65 (EUR) • At close September 16, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,033.657959.68666.879931.535887.629680.779569.938688.269708.84628.367590.814616.833707.479518.801791.216604.339462.047346.584258.135
Kortetermijnbeleggingen 0.36110.5499.7120.15665.30365.74468.44764.6665.371.85775.87171.90967.99468.01131.51934.13116.76721.55657.266
Liquide middelen en kortetermijnbeleggingen 1,034.018970.229676.591931.691952.932746.523638.385752.929774.14700.224666.685688.742775.473586.812822.735638.47478.814368.14315.401
Nettovorderingen 2,763.5773,121.3442,518.1832,267.3272,615.1972,2852,5942,188.2552,279.201,497.858002,044.17600911.876720.772476.528
Voorraad 6.5367.748.5898.8945.45723.03717.92416.99221.69623.26224.29825.7220.75817.64419.55313.6716.34917.8515.876
Overige vlottende activa 130.1133,222.96188.009127.91291.2480.0012,891.6512,496.2872,472.4271,486.545-0.0021,769.5221,790.05512.4061,285.6921,439.42830.053752.4160.05
Totaal vlottende activa 3,934.2444,200.933,274.8183,331.5163,648.5963,210.0253,547.963,266.2083,268.2632,210.0312,188.8392,483.9842,586.2862,661.0382,127.982,091.5681,437.0921,116.851797.855
Niet-vlottende activa:
Materiële vaste activa, netto 63.72360.84964.33954.74994.09934.55744.21162.8764.1852.08541.80233.77832.26631.03627.81930.89322.94919.57216.284
Goodwill 00001.2421.2421.2421.2421.2421.2421.2421.2421.2421.242001.2421.2421.242
Immateriële activa 45.31246.9848.74950.86653.16155.0664.6095.54564.55960.40469.72670.02749.3746.6410022.03513.8163.492
Goodwill en immateriële activa 45.31246.9848.74950.86654.40356.3085.8516.78765.80161.64670.96871.26950.61247.88344.91830.36223.27715.0584.734
Langetermijnbeleggingen 11.6541.5280.2648.566-56.123-47.752-48.813-44.883-54.691-52.282-57.603-58.78-60.482-60.2-15.377-17.619-6.54-13.399-45.073
Belastingvorderingen 364.486409.407410.858407.261387.424319.26254.564225.753186.7381.88937.85228.43324.43124.46422.69626.56319.57818.38424.02
Overige niet-vlottende activa 81.49696.66684.41883.109151.884152.48781.99982.59682.95685.25981.0987.51474.28676.72335.5244.91220.71124.01359.48
Totaal niet-vlottende activa 566.671615.43608.628604.551631.687514.86337.812333.123344.976228.597174.109162.214121.113119.906115.576115.11179.97563.62859.445
Totaal activa 4,500.9154,816.363,883.4463,936.0674,280.2833,724.8853,885.7723,599.3313,613.2392,438.6282,362.9482,646.1972,707.3992,780.9442,243.5562,206.6791,517.0671,180.479857.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,076.2512,984.4562,532.7372,484.9442,795.762,492.2572,636.1972,260.2212,217.8281,493.9791,524.0292,039.7662,143.9552,2411,771.8261,765.371,134.593593.662314.435
Kortlopende schulden 309.082219.201280.441379.391311.02199.402292.21984.92381.8083.7644.1263.1155.33634.2836.96546.947049.12654.932
Belastingschulden 60.04527.43214.55751.509120.97333.6664.3767.79386.5149.06847.94526.92538.5144.00334.79827.55524.42117.98417.323
Uitgestelde opbrengsten 60.045000033.6664.3767.79386.5149.06847.94588.87238.5144.00334.79827.5550335.62617.323
Overige kortlopende verplichtingen 39.688572.774324.631298.04420.332254.452249.752525.87610.791304.146264.1470.00185.74658.56953.20573.346102.3265.377270.008
Totaal kortlopende verplichtingen 3,485.0663,776.4313,137.8093,162.3753,527.1132,879.7713,242.5382,938.8072,996.9371,850.9571,840.2472,131.7542,273.5472,377.8551,866.7941,913.2181,236.919983.791656.698
Langlopende verplichtingen:
Langetermijnschulden 555.758810.331503.865377.88315.016388.84792.503155.621158.13324.02626.24731.34629.95227.03719.30416.1711.9192.8390.889
Uitgestelde opbrengsten niet-vlottend 25.746072.42139.36739.93743.34647.86541.60748.57268.09747.19234.84348.84325.77231.93745.67429.62046.986
Uitgestelde belastingverplichtingen niet-vlottend 23.92462.00164.41272.19967.49754.29339.5221.42811.539.17810.2034.0235.2556.7625.8085.3253.820.6590.258
Overige niet-vlottende verplichtingen 85.90484.5830.2810.6530.6920.0410.0420.0420.5770.5380.5390.540.4352.2712.2740.6822.93231.0135.861
Totaal niet-vlottende verplichtingen 691.332956.915640.979490.099423.142486.527179.93218.698218.782131.83984.18170.75284.48561.84259.32367.85148.29134.51153.994
Totaal passiva 4,176.3984,733.3463,778.7883,652.4743,950.2553,366.2983,422.4683,157.5053,215.7191,982.7961,924.4282,202.5062,358.0322,439.6971,926.1171,981.0691,285.211,018.302710.692
Eigen vermogen:
Preferente aandelen 081.87894.472107.90657.36341.62711.81186.86496.2310000000000
Gewone aandelen 8.035.595.595.595.595.595.595.595.595.595.595.595.595.595.595.595.595.595.59
Ingehouden winsten 273.953211.28248.556439.391434.21446.478551.494618.782585.713614.288557.79518.517466.061404.744379.763304.031220.295151.389152.156
Overige gereserveerde algehele resultaten -50.829-81.878-94.472-107.906-57.363-41.627-11.811-86.864-96.2310000000000
Overige totale aandeelhoudersvermogen 82.51-146.096-159.05-172.324-122.502-107.052-112.013-186.648-197.52-166.951-128.896-91.978-131.002-76.625-74.406-91.683-4.3682.579-13.269
Totaal eigen vermogen van aandeelhouders 313.66470.77495.096272.657317.298345.016445.071437.724393.783452.927434.484432.129340.649333.709310.947217.938221.517159.558144.477
Totaal eigen vermogen 324.51783.014104.658283.593330.028358.587463.304441.826397.52455.832438.52443.691349.367341.247317.439225.61226.687162.177146.608
Totaal passiva en aandeelhoudersvermogen 4,500.9154,816.363,883.4463,936.0674,280.2833,724.8853,885.7723,599.3313,613.2392,438.6282,362.9482,646.1972,707.3992,780.9442,243.5562,206.6791,517.0671,180.479857.3