2024-11-06  3:29:01 PM Chg. -0.8400 Volume Bid9:15:56 PM Ask9:15:56 PM Market Capitalization Dividend Y. P/E Ratio
38.8100EUR -2.12% 642
Turnover: 25,262.5800
38.7000Bid Size: 194 39.0800Ask Size: 192 45.76 bill.EUR - -

Assets

2020
IFRS
in mill. USD
2021
IFRS
in mill. USD
2022
IFRS
in mill. USD
2023
IFRS
in mill. USD
Property and Equipment
  377   443   604   620
Intangible Assets
  844   782   928   367
Long-Term Investments
  55   9   13   38,862
Fixed Assets
  -   -   -   41,707
Inventories
  213   321   470   324
Accounts Receivable
  111   150   276   659
Cash and Cash Equivalents
  4,181   3,571   9,646   9,565
Current Assets
  8,907   7,145   15,265   22,722
Total Assets
  35,764   55,728   71,338   65,078

 

Liabilities

2020
IFRS
in mill. USD
2021
IFRS
in mill. USD
2022
IFRS
in mill. USD
2023
IFRS
in mill. USD
Accounts Payable
  291   344   549   356
Long-term debt
  2   32   2   15,770
Liabilities to Banks
  72   43   -   -
Provisions
  1,855   3,700   -   131
Liabilities
  6,450   12,542   20,815   20,453
Share Capital
  -   -   -   -
Total Equity
  29,314   43,186   50,523   44,593
Minority Interests
  214   117   102   32
Total liabilities equity
  35,764   55,728   71,338   65,078

 

Income Statement

2020
IFRS
in mill. USD
2021
IFRS
in mill. USD
2022
IFRS
in mill. USD
2023
IFRS
in mill. USD
Revenues
  3,330   5,116   6,866   5,765
Depreciation (total)
  -   -   -   -
Operating Result
  -593   -1,040   -   -
Interest Income
  -22   -179   -345   -79
Income Before Taxes
  3,790   7,332   -   -
Income Taxes
  75   -67   97   39
Minority Interests Profit
  109   50   139   -90
Net Income
  3,824   7,449   18,733   10,112

 

Per Share

2020
IFRS
in USD
2021
IFRS
in USD
2022
IFRS
in USD
2023
IFRS
in USD
Earnings per Share
  2.3500   4.5900   12.4300   7.4500
Dividend per Share
  -   0.1665   0.1400   0.1400

 

Cash Flow

2020
IFRS
in mill. USD
2021
IFRS
in mill. USD
2022
IFRS
in mill. USD
2023
IFRS
in mill. USD
Cash Flow from Operating Activities
  -209   159   -605   -120
Cash Flow from Investing Activities
  2,270   -3,218   4,392   12,643
Cash Flow from Financing
  17   2,450   2,403   -12,451
Decrease / Increase in Cash
  2,078   -609   -   -
Employees
  20,524   23,874   30,413   23,252