Virbac SA

EPA:VIRP.PA

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 175.906177.383172.787181.8993.65662.8148.37848.45451.163375.91234.97139.74923.82639.99814.0698.4149.94113.16614.13914.48100
Kortetermijnbeleggingen 2.4962.4881.787.390.3420.7391.3440000.73501.142000000000
Liquide middelen en kortetermijnbeleggingen 175.906177.383172.787181.8993.99863.54949.72248.45451.163375.91235.70639.74924.96839.99814.0698.4149.94113.16614.13914.48100
Nettovorderingen 240.108200.564168.997162.12799.386101.507112.947129.197150.907141.966118.62700112.66426.07389.58969.90500000
Voorraad 343.655333.796274.282212.682206.582195.776184.758197.908182.314159.87138.777132.238111.83298.89370.63369.86262.2459.64958.57754.25763.08670.508
Overige vlottende activa 11.81511.7858.60213.07151.24547.45654.5257.952101.11573.0558.716151.796122.0091.08175.5740.93615.77581.24680.32169.61517.14625.723
Totaal vlottende activa 771.484723.528624.668569.77450.869407.549400.603433.511485.499750.798351.091323.783258.809252.636186.349168.801157.861154.061153.037138.353143.174167.778
Niet-vlottende activa:
Materiële vaste activa, netto 300.956275.238256.128239.014258.795236.685238.848246.818229.083208.363186.254152.11127.137101.611070.30163.25462.29567.0966.252105.913106.217
Goodwill 165.372145.11140.527134.762312.882309.711303.048342.368330.488142.178133.532122.59491.48786.41384.384.07782.63382.13634.82931.47528.9839.907
Immateriële activa 185.107299.507289.278280.037272.134295.016314.297354.38353.912195.298198.24208.59893.73584.994158.90885.45162.93660.36147.26749.47939.64617.921
Goodwill en immateriële activa 350.479444.617429.805414.799585.016604.727617.345696.748684.4337.476331.772331.192185.222171.407243.208169.528145.569142.49782.09680.95468.62927.828
Langetermijnbeleggingen 10.48610.6799.4716.2248.1056.8824.4958.6542.5436.54614.428011.959000.3190000129.5891.522
Belastingvorderingen 43.18751.19744.48414.45621.82223.137.5354.78317.6068.998.0714.6444.3663.9343.4662.6033.67713.9419.376.24510.0146.65
Overige niet-vlottende activa 0.002-145.11-140.527-134.762-21.822-23.13-7.53-54.783-17.606-8.99-8.07115.9691.1424.1651.4471.1046.2766.0712.732.329-171.997-133.253
Totaal niet-vlottende activa 705.11636.621599.361539.731851.916848.294860.688952.22916.026552.385532.454503.915329.826281.117248.121243.855218.776224.804161.286155.78142.13998.964
Totaal activa 1,476.5941,360.1491,224.0291,109.5011,323.2591,272.8071,277.3111,417.1611,430.551,325.842896.232827.698588.635533.753434.47412.656376.637378.865314.323294.133285.313266.742
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 133.201142.459116.88296.53990.06686.803105.6799.131114.77882.97577.65174.03663.12475.30354.45951.724106.1747.73846.07337.54300
Kortlopende schulden 55.62646.08452.7538.813128.403112.30797.767157.021133.169346.14929.30626.154010.60700012.96820.546.25700
Belastingschulden 10.2710.22122.39118.81211.6566.7448.0328.25218.25121.83317.21615.72800003.78421.34721.80726.29100
Uitgestelde opbrengsten 1.581.4732.5821.4812.3381.0220.857-157.021-133.169-346.149-29.30600000024.39630.90834.72300
Overige kortlopende verplichtingen 208.64200.569198.537174.856151.684131.133124.207293.965249.299474.725167.235136.039117.65584.4280.84980.4619.6127.05916.56813.35100
Totaal kortlopende verplichtingen 399.047390.585370.751311.689372.491331.265328.501393.096364.077557.7244.886236.229180.779170.33135.308132.184125.78112.161114.08991.87400
Langlopende verplichtingen:
Langetermijnschulden 40.6418.01413.16550.606306.861374.28408.26433.139518.563221.694179.8145.486032.51200067.3788.20645.91160.76747.141
Uitgestelde opbrengsten niet-vlottend 1.451.8461.1531.2861.3570.9430.3350.583477.242183.362144.0051.528044.257000-20.96247.829-12.04282.91256.037
Uitgestelde belastingverplichtingen niet-vlottend 52.42452.59850.36130.33743.48949.61738.98971.40341.32138.33235.79533.2399.1139.1418.6664.8254.72214.2910.5789.9317.8571.851
Overige niet-vlottende verplichtingen 73.11658.12363.40860.366-44.846-50.56-39.324-71.986-518.563-221.694-179.812.884.877-24.84154.29674.63461.8541.07-26.56627.289-82.912-56.037
Totaal niet-vlottende verplichtingen 167.63130.581128.087142.595306.861374.28408.26433.139518.563221.694179.8193.05393.9961.06962.96279.45966.572101.77640.04771.08968.62448.992
Totaal passiva 566.677521.166498.838454.284771.38776.933798.488896.374948.26843.652481.858429.282274.769231.399198.27211.643192.352213.937154.136162.963156.228134.224
Eigen vermogen:
Preferente aandelen 779.607000000000000000000000
Gewone aandelen 10.57310.57310.57310.57310.57310.57310.57310.57310.57310.57310.57310.57310.89310.89310.89310.89310.89310.89310.89310.89310.89310.893
Ingehouden winsten 121.298123.055114.251137.12852.63821.188-1.48635.73510.494201.70361.611000035.40831.04224.91319.79916.72600
Overige gereserveerde algehele resultaten 883.194822.227707.828603.86500.676443.2419.22421.875410.809212.532282.212-138.274-118.982-111.67800000000
Overige totale aandeelhoudersvermogen -894.371-116.521-107.717-130.594-46.104-14.6548.025.4456.5346.5346.534473.87419.474400.847222.712152.119140.307126.939117.38394.81897.10890.671
Totaal eigen vermogen van aandeelhouders 900.301839.334724.935620.967517.783460.307436.327473.628438.41431.342360.93346.169311.385300.062233.605198.42182.242162.745148.075122.437108.001101.564
Totaal eigen vermogen 909.917838.983725.191655.217551.879495.874478.823520.787482.29482.19414.374398.416313.866302.354236.2201.013184.285164.928160.187131.17118.543117.041
Totaal passiva en aandeelhoudersvermogen 1,476.5941,360.1491,224.0291,109.5011,332.091,286.0011,277.3111,444.9031,430.551,325.842896.232827.698588.635533.753434.47412.656376.637378.865314.323294.133285.313266.742