6/14/2019  3:33:58 PM Chg. -0.440 Volume Bid7:41:05 PM Ask7:56:01 PM Market Capitalization Dividend Y. P/E Ratio
41.740EUR -1.04% 311
Turnover: 13,015.540
41.700Bid Size: 603 41.840Ask Size: 600 8.07 bill.EUR 5.73% 4.43

Assets

2015
-
in mill. EUR
2016
-
in mill. EUR
2017
-
in mill. EUR
2018
-
in mill. EUR
Property and Equipment
  4,934   4,655   4,296   4,409
Intangible Assets
  132   97   81   77
Long-Term Investments
  40   31   31   31
Fixed Assets
  -   -   -   -
Inventories
  1,783   1,721   1,913   2,213
Accounts Receivable
  1,486   1,674   1,882   1,786
Cash and Cash Equivalents
  642   267   1,232   865
Current Assets
  4,237   4,268   5,735   5,283
Total Assets
  10,531   10,234   11,341   11,084

 

Liabilities

2015
-
in mill. EUR
2016
-
in mill. EUR
2017
-
in mill. EUR
2018
-
in mill. EUR
Accounts Payable
  1,403   1,536   1,618   1,637
Long-Term Liabilities
  374   1,796   1,213   1,166
Liabilities to Banks
  2,881   1,931   1,796   1,225
Provisions
  975   1,083   1,080   1,055
Liabilities
  6,919   6,018   5,976   5,709
Share Capital
  203   203   201   183
Total Equity
  3,612   4,216   5,365   5,375
Minority Interests
  16   27   30   33
Total liabilities equity
  10,531   10,234   11,341   11,084

 

Income Statement

2015
-
in mill. EUR
2016
-
in mill. EUR
2017
-
in mill. EUR
2018
-
in mill. EUR
Revenues
  12,082   11,904   14,138   14,616
Depreciation (total)
  -   -   -   -
Operating Result
  680   1,331   2,808   2,580
Interest Income
  -85   -48   -99   -47
Income Before Taxes
  505   1,135   2,658   2,476
Income Taxes
  153   329   641   647
Minority Interests Profit
  -9   -11   -8   -6
Net Income
  343   795   2,009   1,823

 

Per Share

2015
-
in EUR
2016
-
in EUR
2017
-
in EUR
2018
-
in EUR
Earnings per Share
  1.9400   3.9300   9.9300   9.4600
Dividend per Share
  0.7000   1.3500   2.2000   2.4000

 

Cash Flow

2015
-
in mill. EUR
2016
-
in mill. EUR
2017
-
in mill. EUR
2018
-
in mill. EUR
Cash Flow from Operating Activities
  1,473   1,786   2,361   2,376
Cash Flow from Investing Activities
  -380   -1,042   -747   -346
Cash Flow from Financing
  -645   -1,122   -634   -2,402
Decrease / Increase in Cash
  448   -378   980   -372
Employees
  15,761   15,579   16,176   16,770