2/20/2024  5:35:47 PM Chg. -0.570 Volume Bid2/20/2024 Ask5:36:03 PM Market Capitalization Dividend Y. P/E Ratio
13.430EUR -4.07% 4.26 mill.
Turnover: 57.03 mill.
-Bid Size: - -Ask Size: - 9.68 bill.EUR 0.74% -

Assets

2019
IFRS
in mill. EUR
2020
IFRS
in mill. EUR
2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
Property and Equipment
  3,275   4,877   5,104   5,435
Intangible Assets
  4,743   3,839   3,561   3,592
Long-Term Investments
  437   318   352   1,388
Fixed Assets
  -   -   20,744   22,508
Inventories
  7,148   6,530   6,146   7,983
Accounts Receivable
  -   -   -   5,572
Cash and Cash Equivalents
  1,871   4,630   5,333   5,959
Current Assets
  24,917   22,554   23,397   28,665
Total Assets
  45,041   43,032   44,141   51,173

 

Liabilities

2019
IFRS
in mill. EUR
2020
IFRS
in mill. EUR
2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
Accounts Payable
  4,698   4,768   5,764   6,782
Long-term debt
  447   141   389   2,857
Liabilities to Banks
  1,061   1,104   871   -
Provisions
  5,418   4,511   4,604   4,498
Liabilities
  31,952   27,641   28,921   33,986
Share Capital
  -   727   727   -
Total Equity
  13,089   15,390   15,220   17,189
Minority Interests
  1,233   448   262   2
Total liabilities equity
  45,041   43,032   44,141   51,173

 

Income Statement

2019
IFRS
in mill. EUR
2020
IFRS
in mill. EUR
2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
Revenues
  28,797   27,457   28,482   28,997
Depreciation (total)
  -   -   -   -
Operating Result
  597   -1,991   -357   -489
Interest Income
  -248   -137   -81   -92
Income Before Taxes
  317   -2,135   -465   -
Income Taxes
  35   -276   95   128
Minority Interests Profit
  -123   253   107   242
Net Income
  158   -1,606   -453   -404

 

Per Share

2019
IFRS
in EUR
2020
IFRS
in EUR
2021
IFRS
in EUR
2022
IFRS
in EUR
Earnings per Share
  0.2200   -2.2100   -0.6300   -0.5600
Dividend per Share
  -   -   0.1000   0.1000

 

Cash Flow

2019
IFRS
in mill. EUR
2020
IFRS
in mill. EUR
2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
Cash Flow from Operating Activities
  1,694   1,601   1,946   2,218
Cash Flow from Investing Activities
  -797   -1,036   -958   -1,118
Cash Flow from Financing
  -1,597   2,353   -340   -568
Decrease / Increase in Cash
  -673   2,759   703   -
Employees
  -   92,000   92,000   91,000