WPP PLC LS-,10/ JE00B8KF9B49 /
15.11.2024 19:31:35 | Diff. -0,250 | Volumen | Geld19:42:27 | Brief19:42:27 | Marktkapitalisierung | Dividendenr. | KGV |
---|---|---|---|---|---|---|---|
9,700EUR | -2,51% | 0 Umsatz: 0.000 |
-Geld Vol: - | -Brief Vol: - | 10,56 Mrd.EUR | - | - |
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 | 1.083 | 876 | 790,9000 | 869,4000 | 1.000,7000 | ||||||
Immaterielle Vermögensgegenstände | 1.842 | 1.468,8000 | 1.389,3000 | 1.359,5000 | 1.451,9000 | ||||||
Finanzanlagen | 796,8000 | 813 | 330,7000 | 731,2000 | 674,9000 | ||||||
Anlagevermögen | 17.924,3000 | 15.886,8000 | 12.185,4000 | 12.535,2000 | 13.724,2000 | ||||||
Vorräte | 0.0000 | 0.0000 | 0.0000 | 0.0000 | 0.0000 | ||||||
Forderungen | 13.101,5000 | 11.822,3000 | 10.972,3000 | 11.362,3000 | 12.499,7000 | ||||||
Liquide Mitteln | 2.643,2000 | 2.969 | 12.899,1000 | 3.882,9000 | 2.491,5000 | ||||||
Umlaufvermögen | 15.943,4000 | 15.442 | 24.004,5000 | 15.335,6000 | 15.098,3000 | ||||||
Aktiva, gesamt | 33.867,7000 | 31.328,8000 | 36.189,9000 | 29.020,6000 | 28.822,5000 |
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 | 15.038,4000 | 14.186,8000 | 13.859,7000 | 15.252,3000 | 15.834,9000 | ||||||
Langfristige Schulden | 5.634,8000 | 4.047,3000 | 4.975,5000 | 5.978,9000 | 5.730 | ||||||
Verbindlichkeiten gegenüber Kreditinstituten | 6.659,9000 | 4.508,6000 | 13.594,7000 | - | - | ||||||
Rückstellungen | 1.337,1000 | 1.127,5000 | 941,3000 | 717,6000 | 382,1000 | ||||||
Verbindlichkeiten | 24.061,1000 | 22.885,3000 | 31.023,5000 | 23.801,8000 | 24.662,1000 | ||||||
Gezeichnetes Kapital | 133,3000 | 132,8000 | 129,6000 | - | - | ||||||
Eigenkapital | 9.382,2000 | 8.072,1000 | 4.848,3000 | 3.616,4000 | 4.160,4000 | ||||||
Minderheitenanteile | 424,4000 | 371,4000 | 318,1000 | 452,6000 | 479,6000 | ||||||
Passiva, gesamt | 33.867,7000 | 31.328,8000 | 36.189,9000 | 29.020,6000 | 28.822,5000 |
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 |
|||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Umsatzerlöse | 15.602,4000 | 13.234,1000 | 12.002,8000 | 12.801,1000 | 14.428,7000 | ||||||
Abschreibungen (Gesamt) | - | - | - | - | - | ||||||
Betriebsergebnis | 1.431,4000 | 1.295,9000 | -2.278,1000 | 1.229 | 1.358,2000 | ||||||
Zinsergebnis | - | - | - | -214,2000 | -214 | ||||||
Ergebnis vor Steuern | 1.463,3000 | 982,1000 | -2.790,6000 | - | - | ||||||
Ertragsteuern | -323,9000 | -275 | 2.919,9000 | 230,1000 | 384,4000 | ||||||
Gewinnanteil Minderheitsgesellschafter | -76,5000 | -93,8000 | -63,8000 | -83 | -92,7000 | ||||||
Konzernjahresüberschuss | 1.062,9000 | 624,1000 | -2.793,8000 | 720,7000 | 775,4000 |
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 |
|||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Cash Flow aus laufender Geschäftstätigkeit | 1.693,8000 | 1.850,5000 | 2.054,8000 | 2.032,8000 | 700,9000 | ||||||
Cash Flow aus Investitionstätigkeit | 184,5000 | 1.759,6000 | -167,6000 | -642,2000 | -408,9000 | ||||||
Cash Flow aus Finanzierungstätigkeit | -1.613,8000 | -2.922 | -250,5000 | -2.057 | 1.911 | ||||||
Veränderung der liquiden Mittel | 264,5000 | 688,1000 | 1.636,7000 | - | - | ||||||
Anzahl der Mitarbeiter | 133.903 | 132.823 | 104.163 | 109.382 | 115.473 |