THALES S.A. EO 3/ FR0000121329 /
12.11.2024 21:43:22 | Diff. -1,650 | Volumen | Geld21:59:58 | Brief21:59:58 | Marktkapitalisierung | Dividendenr. | KGV |
---|---|---|---|---|---|---|---|
160,650EUR | -1,02% | 443 Umsatz: 71.682,650 |
160,650Geld Vol: 62 | 161,300Brief Vol: 62 | 33,24 Mrd.EUR | 2,11% | 32,76 |
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 | 1.808,9000 | 0.0000 | 0.0000 | 0.0000 | 3.478,9000 | ||||||
Immaterielle Vermögensgegenstände | 769,3000 | 0.0000 | 0.0000 | 0.0000 | 1.565,8000 | ||||||
Finanzanlagen | 1.306,3000 | 1.507,2000 | 1.422 | 1.492,8000 | 1.849,3000 | ||||||
Anlagevermögen | 8.531,9000 | 15.344,7000 | 14.381,3000 | 13.137,2000 | 13.407 | ||||||
Vorräte | 3.080,6000 | 3.731,3000 | 3.508,5000 | 3.336 | 3.672,3000 | ||||||
Forderungen | 4.671,7000 | 5.239,5000 | 5.038,3000 | 5.442,9000 | 5.810,1000 | ||||||
Liquide Mitteln | 5.637,5000 | 2.931,4000 | 5.003,9000 | 5.049,4000 | 5.099,6000 | ||||||
Umlaufvermögen | 16.973,9000 | 15.878,7000 | 17.426,5000 | 19.703,6000 | 21.013,5000 | ||||||
Aktiva, gesamt | 25.505,8000 | 31.223,4000 | 31.807,8000 | 32.840,8000 | 34.420,5000 |
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 | 6.148,5000 | 6.813,7000 | 5.998 | 6.066,6000 | 6.918,7000 | ||||||
Langfristige Schulden | 2.408,5000 | 4.306,4000 | 5.209,7000 | 4.602,4000 | 3.992,1000 | ||||||
Verbindlichkeiten gegenüber Kreditinstituten | 2.729,7000 | 6.274,7000 | 7.598,4000 | 5.921,4000 | - | ||||||
Rückstellungen | 216,4000 | 783,3000 | 657,6000 | 491,4000 | 2.304,3000 | ||||||
Verbindlichkeiten | 19.581,3000 | 25.541,3000 | 26.497,9000 | 32.840,8000 | 2.703 | ||||||
Gezeichnetes Kapital | 639,3000 | 640 | 640,1000 | 640,2000 | - | ||||||
Eigenkapital | 5.699,6000 | 5.449,2000 | 5.114,9000 | 6.480,1000 | 7.173,9000 | ||||||
Minderheitenanteile | 224,9000 | 232,9000 | 195 | 244,4000 | 207,6000 | ||||||
Passiva, gesamt | 25.505,8000 | 31.223,4000 | 31.807,8000 | 32.840,8000 | 34.420,5000 |
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 | 15.854,7000 | 18.401 | 16.988,9000 | 16.192 | 17.568,8000 | ||||||
Abschreibungen (Gesamt) | 102,8000 | - | - | - | - | ||||||
Betriebsergebnis | 1.329,8000 | 1.502 | 724,2000 | 1.295,8000 | 1.500,5000 | ||||||
Zinsergebnis | - | - | - | - | - | ||||||
Ergebnis vor Steuern | 1.342,1000 | 1.447,4000 | 582,2000 | 1.164,5000 | 1.356,1000 | ||||||
Ertragsteuern | -314,2000 | -301 | -90,3000 | -30,1000 | 225,1000 | ||||||
Gewinnanteil Minderheitsgesellschafter | -46,1000 | -24,5000 | -8,5000 | -45,6000 | -10,4000 | ||||||
Konzernjahresüberschuss | 981,8000 | 1.121,9000 | 483,4000 | 1.088,8000 | 1.111,5000 |
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 | 1.092,7000 | 1.770,2000 | 1.345,6000 | 2.706,7000 | 3.025,4000 | ||||||
Cash Flow aus Investitionstätigkeit | -348,8000 | -4.615,2000 | -386,4000 | -493,4000 | -1.131,5000 | ||||||
Cash Flow aus Finanzierungstätigkeit | 617,2000 | 128,3000 | 1.197,3000 | -2.169,1000 | -1.652 | ||||||
Veränderung der liquiden Mittel | 1.354,8000 | -2.706,1000 | 2.072,5000 | 86 | - | ||||||
Anzahl der Mitarbeiter | 66.135 | 82.605 | 80.702 | 80.995 | 76.776 |