HAPAG-LLOYD AG NA O.N./ DE000HLAG475 /
13.11.2024 21:55:03 | Diff. +1,400 | Volumen | Geld22:00:02 | Brief22:00:02 | Marktkapitalisierung | Dividendenr. | KGV |
---|---|---|---|---|---|---|---|
157,300EUR | +0,90% | 45 Umsatz: 7.087,400 |
-Geld Vol: - | -Brief Vol: - | 27,65 Mrd.EUR | 5,88% | 9,42 |
Aktiva
|
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
2023 IFRS in Mio. EUR |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Sachanlagen | 10.064,9000 | 9.300,6000 | 11.764,8000 | 13.140,2000 | 13.547,5000 | ||||||
Immaterielle Vermögensgegenstände | 1.716,9000 | 1.459,1000 | 1.510,1000 | 1.540,4000 | 1.840,7000 | ||||||
Finanzanlagen | 27,6000 | 21,6000 | 12,5000 | 353,4000 | 1.281,7000 | ||||||
Anlagevermögen | - | - | - | 16.894,7000 | 18.779,9000 | ||||||
Vorräte | 248,5000 | 172,3000 | 337,2000 | 440 | 454,3000 | ||||||
Forderungen | 1.239,8000 | 1.362,6000 | 2.999,2000 | 2.895 | 1.657 | ||||||
Liquide Mitteln | 511,6000 | 681,3000 | 7.723,4000 | 15.236,1000 | 5.809,8000 | ||||||
Umlaufvermögen | 2.388,6000 | 2.551,2000 | 11.430,5000 | 21.792,7000 | 10.232,5000 | ||||||
Aktiva, gesamt | 16.200,4000 | 15.184,3000 | 26.714,5000 | 38.687,3000 | 29.012,4000 |
Passiva
|
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
2023 IFRS in Mio. EUR |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Verbindlichkeiten aus Lieferungen und Leistungen | 1.779,4000 | 1.748,1000 | 2.323,9000 | 2.615,7000 | 2.487,4000 | ||||||
Langfristige Schulden | 22,8000 | 35,5000 | 25,9000 | 2.319,4000 | 2.318,9000 | ||||||
Verbindlichkeiten gegenüber Kreditinstituten | 34,4000 | 35,5000 | 27,1000 | - | - | ||||||
Rückstellungen | 536,3000 | 502 | 773,1000 | 1.309,3000 | 1.648 | ||||||
Verbindlichkeiten | 9.579,8000 | 8.461,6000 | 10.552,5000 | 10.776,3000 | 10.245,5000 | ||||||
Gezeichnetes Kapital | 175,8000 | 175,8000 | 175,8000 | - | - | ||||||
Eigenkapital | 6.620,6000 | 6.722,7000 | 16.162 | 27.893,4000 | 18.690,6000 | ||||||
Minderheitenanteile | 14 | 15,5000 | 12,9000 | 17,7000 | 76,4000 | ||||||
Passiva, gesamt | 16.200,4000 | 15.184,3000 | 26.714,5000 | 38.687,3000 | 29.012,4000 |
Gewinn- und Verlustrechnung
|
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
2023 IFRS in Mio. EUR |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Umsatzerlöse | 12.607,9000 | 12.772,4000 | 22.273,5000 | 34.542,7000 | 17.929,5000 | ||||||
Abschreibungen (Gesamt) | 1.174,4000 | 1.385,2000 | 1.462,8000 | 1.904,2000 | 1.929,3000 | ||||||
Betriebsergebnis | 775,2000 | 1.284,4000 | 9.362,2000 | 17.524,5000 | 2.531,7000 | ||||||
Zinsergebnis | -396,7000 | -330,5000 | -245,2000 | 22,6000 | 351,5000 | ||||||
Ergebnis vor Steuern | 416,3000 | 981,3000 | 9.146,3000 | - | - | ||||||
Ertragsteuern | 42,9000 | 45,8000 | 61,3000 | 200,6000 | 84,2000 | ||||||
Gewinnanteil Minderheitsgesellschafter | -11,4000 | -8,6000 | -10,4000 | 12,5000 | 15,2000 | ||||||
Konzernjahresüberschuss | 362 | 926,8000 | 9.074,7000 | 17.030,1000 | 2.935,4000 |
Pro Aktie
Cash Flow
|
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
2023 IFRS in Mio. EUR |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Cash Flow aus laufender Geschäftstätigkeit | 2.028,2000 | 2.897,9000 | 10.410 | 19.503,3000 | 4.966 | ||||||
Cash Flow aus Investitionstätigkeit | -369,5000 | -477,6000 | -1.231,7000 | -4.065,4000 | -1.648,2000 | ||||||
Cash Flow aus Finanzierungstätigkeit | -1.817,6000 | -2.192,1000 | -2.481 | -8.229,7000 | -12.176,5000 | ||||||
Veränderung der liquiden Mittel | -158,9000 | 228,2000 | 6.697,3000 | - | - | ||||||
Anzahl der Mitarbeiter | 12.996 | 13.117 | 14.106 | 14.248 | 16.295 |