Rexel SA/ FR0010451203 /
13.11.2024 12:02:28 | Diff. +0,24 | Volumen | Geld12:03:25 | Brief12:03:26 | Marktkapitalisierung | Dividendenr. | KGV |
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26,13EUR | +0,91% | 106.994 Umsatz: 1 Mio. |
26,10Geld Vol: 69 | 26,12Brief Vol: 547 | 7,85 Mrd.EUR | 4,59% | 10,16 |
Aktiva
2018 IFRS in Mio. EUR |
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
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Sachanlagen | 281,1000 | 273,3000 | 253,3000 | 1.319 | 1.429,9000 | ||||||
Immaterielle Vermögensgegenstände | 1.038,8000 | 1.027,5000 | 997,5000 | 1.159 | 1.167,4000 | ||||||
Finanzanlagen | 42,6000 | 49,2000 | 41,3000 | 56,6000 | 66,5000 | ||||||
Anlagevermögen | 5.319,4000 | 6.093,8000 | 5.409,5000 | 6.000,2000 | 6.181,8000 | ||||||
Vorräte | 1.674,2000 | 1.696,9000 | 1.511,1000 | 2.057,2000 | 2.275,4000 | ||||||
Forderungen | 2.091,5000 | 2.059,3000 | 1.899,7000 | 2.353,2000 | 2.617 | ||||||
Liquide Mitteln | 544,9000 | 514,3000 | 685,4000 | 573,5000 | 895,4000 | ||||||
Umlaufvermögen | 4.885,9000 | 4.980,9000 | 4.553,7000 | 5.553,5000 | 6.727,9000 | ||||||
Aktiva, gesamt | 10.205,3000 | 11.074,8000 | 9.963,2000 | 11.553,7000 | 12.909,7000 |
Passiva
2018 IFRS in Mio. EUR |
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
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Verbindlichkeiten aus Lieferungen und Leistungen | 2.024,6000 | 2.021,7000 | 1.807,3000 | 2.170 | 2.371,8000 | ||||||
Langfristige Schulden | 1.936,2000 | 1.733,1000 | 1.915,2000 | 2.265,6000 | 2.808,1000 | ||||||
Verbindlichkeiten gegenüber Kreditinstituten | 2.585,2000 | 2.477,3000 | 2.028,5000 | - | - | ||||||
Rückstellungen | 293,4000 | 230 | 234,4000 | 264,9000 | 311,8000 | ||||||
Verbindlichkeiten | 5.973,1000 | 6.839,4000 | 6.168,4000 | 6.992,9000 | 7.627,8000 | ||||||
Gezeichnetes Kapital | 1.519,9000 | 1.520,5000 | 1.522,1000 | - | - | ||||||
Eigenkapital | 4.228,4000 | 4.230,1000 | 3.795,1000 | 4.560,4000 | 5.281,8000 | ||||||
Minderheitenanteile | 3,8000 | 5,2000 | -,4000 | ,5000 | ,1000 | ||||||
Passiva, gesamt | 10.205,3000 | 11.074,8000 | 9.963,2000 | 11.553,7000 | 12.909,7000 |
Gewinn- und Verlustrechnung
2018 IFRS in Mio. EUR |
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
|||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Umsatzerlöse | 13.365,7000 | 13.742,3000 | 12.592,5000 | 14.690,2000 | 18.701,6000 | ||||||
Abschreibungen (Gesamt) | - | - | - | - | - | ||||||
Betriebsergebnis | 409,8000 | 486,4000 | -3,4000 | 911,8000 | 1.343 | ||||||
Zinsergebnis | - | - | - | -49,1000 | -46 | ||||||
Ergebnis vor Steuern | 309,2000 | 321,1000 | -120,6000 | 778,4000 | 1.223,5000 | ||||||
Ertragsteuern | -156,9000 | -117,3000 | -140,7000 | 180,8000 | 301,2000 | ||||||
Gewinnanteil Minderheitsgesellschafter | -1,6000 | ,6000 | ,1000 | -,5000 | - | ||||||
Konzernjahresüberschuss | 150,7000 | 204,4000 | -261,2000 | 597,2000 | 922,3000 |
Pro Aktie
Cash Flow
2018 IFRS in Mio. EUR |
2019 IFRS in Mio. EUR |
2020 IFRS in Mio. EUR |
2021 IFRS in Mio. EUR |
2022 IFRS in Mio. EUR |
|||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Cash Flow aus laufender Geschäftstätigkeit | 284,7000 | 552,7000 | 706,9000 | 717,7000 | 840,1000 | ||||||
Cash Flow aus Investitionstätigkeit | -95,5000 | -118,2000 | 67,6000 | -542,3000 | -182,1000 | ||||||
Cash Flow aus Finanzierungstätigkeit | -158,2000 | -456,3000 | -580,2000 | -299,7000 | -286,6000 | ||||||
Veränderung der liquiden Mittel | 31,1000 | -21,9000 | 194,4000 | - | - | ||||||
Anzahl der Mitarbeiter | 26.807 | 26.537 | 24.818 | 24.630 | 25.906 |