2024-11-09  1:03:33 PM Chg. 0.000 Volume Bid1:03:33 PM Ask1:03:33 PM Market Capitalization Dividend Y. P/E Ratio
1.927EUR 0.00% -
Turnover: -
1.927Bid Size: - 1.971Ask Size: - 2.5 bill.EUR 6.10% 9.75

Assets

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Property and Equipment
  3,937.5860   4,366.7220   4,459.5120
Intangible Assets
  2,646.8640   2,826.6920   3,132.0430
Long-Term Investments
  360.0300   392.5800   12.9450
Fixed Assets
  7,715.3940   8,430.9170   9,019.5390
Inventories
  111.8120   139.3590   73.8770
Accounts Receivable
  1,063.9260   1,409.4350   1,288.1070
Cash and Cash Equivalents
  606.8880   788.4020   436.1340
Current Assets
  2,595.0600   3,286.1420   2,666.6860
Total Assets
  10,310.4540   11,717.0590   11,686.2250

 

Liabilities

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Accounts Payable
  1,523.7050   2,279.4000   1,634.7200
Long-term debt
  3,549.6120   90.9480   4,046.9760
Liabilities to Banks
  -   -   -
Provisions
  818.4870   854.8780   736.7630
Liabilities
  7,359.7940   8,525.9050   8,444.7720
Share Capital
  -   -   -
Total Equity
  2,570.5310   2,745.0850   2,806.3010
Minority Interests
  380.1290   446.0690   435.1520
Total liabilities equity
  -   11,717.0590   11,686.2250

 

Income Statement

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Revenues
  4,955.8710   7,863.0400   6,490.3810
Depreciation (total)
  531.4110   522.5910   600.6770
Operating Result
  454.1060   463.7350   464.6400
Interest Income
  -46.3800   -81.9070   -98.6330
Income Before Taxes
  -   -   -
Income Taxes
  90.3320   128.8510   97.0950
Minority Interests Profit
  30.3820   43.9290   27.1660
Net Income
  303.0880   226.0170   254.8450

 

Per Share

2021
IFRS
in EUR
2022
IFRS
in EUR
2023
IFRS
in EUR
Earnings per Share
  0.2400   0.1800   0.2000
Dividend per Share
  0.1000   0.1100   0.1188

 

Cash Flow

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Cash Flow from Operating Activities
  950.4720   1,083.0570   680.2950
Cash Flow from Investing Activities
  -811.7930   -1,142.1030   -886.6170
Cash Flow from Financing
  -421.9600   240.5600   -145.9460
Decrease / Increase in Cash
  -   -   -
Employees
  -   -   -