Vidrala, S.A.

MSE:VID.MC

102.2 (EUR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 81.506154.029160.54112.17828.79522.67342.0430.42415.720.0620.1160.8630.0760.042.4480.7410.2710.02600
Kortetermijnbeleggingen 0-18.045-6.411-1.294-0.027-0.3193.5682.777-1.556-0.247-0.393-0.2740-0.049-0.1780-3.411-4.13900
Liquide middelen en kortetermijnbeleggingen 81.506154.029160.54112.17828.79522.67342.0430.42415.720.0620.1160.8630.0760.042.4480.7410.2710.02600
Nettovorderingen 396.375360.148292.143237.542266.811241.038219.286206.274216.951115.92126.721121.068100.373101.08985.652113.679110.14590.87300
Voorraad 339.23254.523166.33161.134191.785185.147189.829180.973201.01123.669126.464112.627100.911106.156114.797108.65678.90768.72662.38534.538
Overige vlottende activa 4.2312.0023.3543.3341.4370.1150.1810.1840.1122.6662.9344.53330.38825.19814.4790.0540.0630.0090.1540.175
Totaal vlottende activa 821.341780.702622.367514.188488.828448.973451.339387.855433.793242.317256.235239.091231.748232.483217.376223.13189.386159.634150.7879.953
Niet-vlottende activa:
Materiële vaste activa, netto 1,178.089831.845774.397729.7694.071684.114683.036592.727656.538325.906331.182345.312354.276351.745359.793342.277293.243263.681249.094138.467
Goodwill 309.222209.89209.89209.89209.89209.89209.8959.23359.23359.23359.23359.23359.23359.23359.23317.35159.49259.2334.5760
Immateriële activa 98.26973.07748.50927.10427.98625.13623.35412.017.0139.0311.46912.34913.79612.66313.90559.4928.47214.18458.48818.22
Goodwill en immateriële activa 407.491282.967258.399236.994237.876235.026233.24471.24366.24668.26370.70271.58273.02971.89673.13876.84367.96473.41763.06418.22
Langetermijnbeleggingen 17.47718.0786.4371.3220.0550.347-3.527-2.491.5640.2550.4010.2820.0070.0560.1850.8163.4184.1411.7230.004
Belastingvorderingen 57.4139.83241.54239.11636.72638.69535.30439.76841.8632.54841.04139.08237.39341.74945.32244.31447.01838.95439.27814.406
Overige niet-vlottende activa 0.1030.1030.1040.1270.3050.185.5037.140.2020.0630.4270.1390.2771.4281.8090.693.4752.7412.7462.568
Totaal niet-vlottende activa 1,660.571,172.8251,080.8791,007.259969.033958.362953.56708.388766.41427.035443.753456.397464.982466.874480.247464.94415.118382.934355.905173.665
Totaal activa 2,481.9111,953.5271,703.2461,521.4471,457.8611,407.3351,404.8991,096.2431,200.203669.352699.988695.488696.73699.357697.623688.07604.504542.568506.685253.618
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 292.343270.9212.721170.868180.103163.793168.37147.361138.04976.08576.5583.83898.10892.5281.723101.32689.969.78969.06331.324
Kortlopende schulden 183.4135.1486.5827.61831.00836.23437.87110.8013.09929.8744.93265.85476.431078.06193.01491.53767.62100
Belastingschulden 33.92939.48519.01127.37626.97327.85114.88520.10224.48520.50622.38815.5735.0845.8567.14617.75814.32710.54500
Uitgestelde opbrengsten 66.7730172.115239.011178.3391.35374.11249.96961.50745.91452.63442.4686.547012.38500000
Overige kortlopende verplichtingen 97.698212.5147.5426.49913.78810.37710.1056.39712.1027.6816.7068.8689.282104.74210.14418.02816.21911.23453.02835.529
Totaal kortlopende verplichtingen 640.227488.562398.96423.996403.229301.757290.458214.528214.757159.55180.822201.028190.368197.262182.313212.368197.656148.644122.09166.853
Langlopende verplichtingen:
Langetermijnschulden 311.151271.864181.962181.804227.441387.703476.265299.689409.12933.93563.20288.917112.847130.2990.931158.121119.924129.10100
Uitgestelde opbrengsten niet-vlottend 9.3885.1069.1297.27912.02417.83825.41131.53533.66323.30826.78427.75227.74231.87529.53731.75735.33637.83300
Uitgestelde belastingverplichtingen niet-vlottend 108.0681.17873.70554.46152.60351.14645.11547.86647.40239.0737.94226.27726.16726.13226.20526.83827.20125.82700
Overige niet-vlottende verplichtingen 179.36573.19372.58837.75139.20538.89339.51427.69118.7169.02416.71113.04227.82626.599207.04932.66824.68829.97231.76144.852
Totaal niet-vlottende verplichtingen 607.964431.341337.384281.295331.273495.58586.305406.781508.91105.337144.639155.988194.582214.905263.722249.384207.149222.731231.76144.852
Totaal passiva 1,248.191919.903736.344705.291734.502797.337876.763621.309723.667264.887325.461357.016384.95412.167446.035461.752404.805371.375353.852111.705
Eigen vermogen:
Preferente aandelen 020.8992.7344.3217.53236.39331.29115.049000000000000
Gewone aandelen 32.90831.34130.43828.98927.88326.55525.2925.2925.2925.2924.45224.45225.01324.38323.22223.22222.11622.11600
Ingehouden winsten 1,211.6341,050.381973.506863.051757.213644.609551.362481.879431.78386.581363.066322.527298.666275.546237.348212.868182.992153.003134.154115.698
Overige gereserveerde algehele resultaten -20.21-20.899-2.73-44.32-17.532-36.393-31.291-15.04932.55200000000000
Overige totale aandeelhoudersvermogen 0-48.098-37.042-75.884-61.737-61.166-48.516-32.235-13.086-7.406-12.991-8.507-11.899-12.739-8.982-9.772-5.409-3.92618.67925.645
Totaal eigen vermogen van aandeelhouders 1,224.3321,033.624966.902816.156723.359609.998528.136474.934476.536404.465374.527338.472311.78287.19251.588226.318199.699171.193152.833141.343
Totaal eigen vermogen 1,224.3321,033.624966.902816.156723.359609.998528.136474.934476.536404.465374.527338.472311.78287.19251.588226.318199.699171.193152.833141.628
Totaal passiva en aandeelhoudersvermogen 2,481.9111,953.5271,703.2461,521.4471,457.8611,407.3351,404.8991,096.2431,200.203669.352699.988695.488696.73699.357697.623688.07604.504542.568506.685253.618