SSE PLC/ GB0007908733 /
08.11.2024 17:29:55 | Diff. +4,50 | Volumen | Geld- | Brief- | Marktkapitalisierung | Dividendenr. | KGV |
---|---|---|---|---|---|---|---|
1.717,50GBX | +0,26% | 105.913 Umsatz(GBP): 1,82 Mio. |
-Geld Vol: - | -Brief Vol: - | 18,82 Mrd.GBP | - | - |
Aktiva
2018 IFRS in Mio. GBP |
2019 IFRS in Mio. GBP |
2020 IFRS in Mio. GBP |
2021 IFRS in Mio. GBP |
2022 IFRS in Mio. GBP |
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Sachanlagen | 13.121,7000 | 12.429,4000 | 12.814,7000 | 13.254,3000 | 14.618,7000 | ||||||
Immaterielle Vermögensgegenstände | 0.0000 | 990,2000 | 1.101,4000 | 841,3000 | 1.127,8000 | ||||||
Finanzanlagen | 2.966 | 3.160,3000 | 3.639,5000 | 2.975,1000 | 2.356,8000 | ||||||
Anlagevermögen | 16.795,4000 | 17.420,9000 | 17.555,6000 | 17.070,7000 | 18.824,6000 | ||||||
Vorräte | 225,9000 | 228,5000 | 174 | 234,9000 | 266,6000 | ||||||
Forderungen | 4.071,7000 | 3.144,6000 | 1.761,2000 | 1.488,2000 | 2.211 | ||||||
Liquide Mitteln | 232,2000 | 431,6000 | 164,6000 | 1.600,2000 | 1.049,3000 | ||||||
Umlaufvermögen | 6.419,6000 | 7.921,5000 | 3.476,1000 | 4.520,9000 | 6.936,8000 | ||||||
Aktiva, gesamt | 23.215 | 25.342,4000 | 21.031,7000 | 21.591,6000 | 25.761,4000 |
Passiva
2018 IFRS in Mio. GBP |
2019 IFRS in Mio. GBP |
2020 IFRS in Mio. GBP |
2021 IFRS in Mio. GBP |
2022 IFRS in Mio. GBP |
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Verbindlichkeiten aus Lieferungen und Leistungen | 4.977,6000 | 4.012,9000 | 1.995,4000 | 1.987,3000 | 842,4000 | ||||||
Langfristige Schulden | 7.960,2000 | 9.221,1000 | 9.465 | 9.647,6000 | 8.423,5000 | ||||||
Verbindlichkeiten gegenüber Kreditinstituten | 8.610,5000 | 9.918,5000 | 11.431,9000 | 10.585,2000 | - | ||||||
Rückstellungen | 1.835,9000 | 1.976,9000 | 1.307,3000 | 1.659,7000 | 2.756,8000 | ||||||
Verbindlichkeiten | 17.984,8000 | 19.501,1000 | 16.111,6000 | 14.910,5000 | 16.587,6000 | ||||||
Gezeichnetes Kapital | 511,5000 | 523,4000 | 523,1000 | 524,5000 | - | ||||||
Eigenkapital | 5.230,2000 | 5.841,3000 | 4.920,1000 | 6.681,1000 | 9.133,2000 | ||||||
Minderheitenanteile | 0.0000 | 0.0000 | 0.0000 | 0.0000 | -40,6000 | ||||||
Passiva, gesamt | 23.215 | 25.342,4000 | 21.031,7000 | 21.591,6000 | 25.761,4000 |
Gewinn- und Verlustrechnung
2018 IFRS in Mio. GBP |
2019 IFRS in Mio. GBP |
2020 IFRS in Mio. GBP |
2021 IFRS in Mio. GBP |
2022 IFRS in Mio. GBP |
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Umsatzerlöse | 31.226,4000 | 7.331,6000 | 6.800,6000 | 6.826,4000 | 8.608,2000 | ||||||
Abschreibungen (Gesamt) | - | - | - | - | - | ||||||
Betriebsergebnis | 1.379,2000 | 1.692,2000 | 963,4000 | 2.743,5000 | 3.755,4000 | ||||||
Zinsergebnis | - | - | - | - | -273,2000 | ||||||
Ergebnis vor Steuern | 1.086,2000 | 1.370,6000 | 466,1000 | 2.292,1000 | 3.482,2000 | ||||||
Ertragsteuern | -166,1000 | 57,6000 | -478,6000 | 30,7000 | 882,8000 | ||||||
Gewinnanteil Minderheitsgesellschafter | -98,5000 | -46,6000 | -46,5000 | -46,6000 | -50,7000 | ||||||
Konzernjahresüberschuss | 821,6000 | 1.409,1000 | -59 | 2.276,2000 | 3.031,4000 |
Pro Aktie
Cash Flow
2018 IFRS in Mio. GBP |
2019 IFRS in Mio. GBP |
2020 IFRS in Mio. GBP |
2021 IFRS in Mio. GBP |
2022 IFRS in Mio. GBP |
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Cash Flow aus laufender Geschäftstätigkeit | 1.727,4000 | 1.176,7000 | 1.300,2000 | 1.817,2000 | 1.627,9000 | ||||||
Cash Flow aus Investitionstätigkeit | -1.407 | -722,5000 | -1.012,2000 | 443,7000 | -744,9000 | ||||||
Cash Flow aus Finanzierungstätigkeit | -1.515,2000 | -159,6000 | -650,2000 | -825,3000 | -1.433,9000 | ||||||
Veränderung der liquiden Mittel | -1.194,8000 | 294,6000 | -362,2000 | 1.435,6000 | - | ||||||
Anzahl der Mitarbeiter | 20.786 | 20.370 | 11.682 | 12.513 | 10.754 |