Rok finansowy |
2014 |
2014 |
2015 |
2015 |
2015 |
2015 |
2016 |
2016 |
2016 |
2016 |
2017 |
2017 |
2017 |
2017 |
2018 |
2018 |
2018 |
2018 |
2019 |
2019 |
2019 |
2019 |
2020 |
2020 |
2020 |
2020 |
2021 |
2021 |
2021 |
2021 |
2022 |
2022 |
2022 |
2022 |
2023 |
2023 |
2023 |
2023 |
2024 |
2024 |
2024 |
2024 |
Kwartał |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Aktywa |
64 993.8 |
74 279.1 |
77 691.5 |
80 272.6 |
86 307.4 |
95 737.4 |
104 524.1 |
101 286.8 |
104 865.0 |
108 453.1 |
110 076.6 |
110 004.5 |
112 114.2 |
118 443.6 |
116 784.6 |
145 836.5 |
159 035.3 |
267 700.3 |
264 997.0 |
260 552.1 |
249 035.1 |
254 183.8 |
360 513.9 |
349 711.3 |
376 932.7 |
362 326.5 |
353 002.9 |
362 628.4 |
359 719.9 |
369 632.9 |
363 431.0 |
364 423.4 |
370 265.4 |
358 209.8 |
362 049.4 |
371 204.8 |
370 070.5 |
359 195.9 |
368 813.5 |
372 383.2 |
344 558.6 |
346 844.9 |
Aktywa trwałe |
55 275.3 |
61 272.8 |
62 888.4 |
65 088.4 |
69 131.1 |
75 889.2 |
87 737.2 |
86 827.1 |
89 497.8 |
92 437.2 |
92 696.4 |
93 899.8 |
94 279.0 |
96 913.7 |
96 149.9 |
126 203.5 |
138 406.3 |
229 594.3 |
225 735.6 |
223 015.2 |
211 351.0 |
215 585.0 |
314 749.5 |
306 516.1 |
320 609.5 |
310 262.0 |
305 972.4 |
308 071.8 |
313 354.0 |
320 806.2 |
316 581.0 |
309 808.4 |
314 478.3 |
307 913.6 |
311 109.5 |
320 549.3 |
320 620.8 |
316 620.2 |
324 376.1 |
326 017.1 |
304 104.4 |
305 557.4 |
Rzeczowe aktywa trwałe netto |
24 240.1 |
25 225.9 |
29 800.9 |
30 611.5 |
32 144.0 |
33 867.2 |
46 557.2 |
46 445.7 |
48 003.6 |
48 698.9 |
48 817.7 |
49 805.8 |
50 063.7 |
51 376.3 |
51 163.5 |
51 286.9 |
50 394.7 |
133 124.9 |
130 643.3 |
129 728.2 |
120 056.3 |
123 129.1 |
219 124.4 |
211 709.4 |
223 809.7 |
211 794.6 |
206 374.7 |
205 639.0 |
208 932.3 |
216 816.8 |
211 687.9 |
206 565.9 |
209 170.9 |
205 553.0 |
207 291.0 |
214 637.7 |
214 370.3 |
213 426.0 |
217 941.3 |
219 614.2 |
203 478.5 |
204 444.0 |
Wartość firmy |
0.0 |
5 627.9 |
0.0 |
0.0 |
0.0 |
10 223.8 |
0.0 |
0.0 |
0.0 |
7 649.4 |
0.0 |
0.0 |
0.0 |
8 776.8 |
0.0 |
0.0 |
0.0 |
7 383.4 |
0.0 |
0.0 |
0.0 |
9 557.9 |
0.0 |
0.0 |
0.0 |
12 578.8 |
0.0 |
0.0 |
0.0 |
13 007.7 |
0.0 |
0.0 |
0.0 |
13 454.0 |
0.0 |
0.0 |
0.0 |
14 061.0 |
0.0 |
0.0 |
0.0 |
13 230.0 |
Wartości niematerialne i prawne |
0.0 |
5 826.5 |
0.0 |
0.0 |
0.0 |
6 317.7 |
0.0 |
0.0 |
0.0 |
10 834.0 |
18 449.7 |
18 431.3 |
18 390.3 |
10 888.0 |
0.0 |
0.0 |
0.0 |
54 937.9 |
0.0 |
0.0 |
0.0 |
50 148.9 |
0.0 |
0.0 |
0.0 |
54 654.1 |
0.0 |
0.0 |
0.0 |
56 570.5 |
0.0 |
0.0 |
0.0 |
52 716.0 |
0.0 |
0.0 |
0.0 |
56 783.0 |
0.0 |
0.0 |
0.0 |
53 295.0 |
Wartość firmy i wartości niematerialne i prawne |
11 725.2 |
11 454.4 |
11 619.3 |
12 113.5 |
12 135.8 |
16 541.5 |
16 104.0 |
15 596.7 |
16 468.8 |
18 483.5 |
18 449.7 |
18 431.3 |
18 390.3 |
19 664.8 |
19 025.0 |
20 236.6 |
19 692.6 |
62 321.3 |
60 327.9 |
58 454.8 |
55 996.0 |
59 706.8 |
63 233.7 |
62 114.9 |
65 992.8 |
67 232.9 |
67 688.3 |
69 783.2 |
71 530.2 |
69 578.3 |
69 363.0 |
68 765.1 |
69 435.5 |
66 170.0 |
68 588.8 |
71 013.4 |
72 091.6 |
70 844.0 |
72 926.2 |
73 169.4 |
67 287.7 |
66 525.0 |
Należności netto |
2 551.3 |
4 115.3 |
2 882.3 |
2 736.3 |
3 568.1 |
5 157.6 |
4 554.1 |
5 063.1 |
4 624.2 |
5 167.5 |
5 488.8 |
5 720.9 |
6 928.7 |
8 045.0 |
7 691.4 |
8 749.1 |
9 004.0 |
15 963.5 |
14 472.1 |
14 919.0 |
14 619.6 |
16 860.7 |
12 640.0 |
11 145.0 |
11 982.3 |
14 675.5 |
11 463.0 |
11 357.0 |
13 159.0 |
17 045.1 |
17 796.0 |
16 139.0 |
17 361.0 |
19 530.0 |
16 352.0 |
18 228.0 |
18 582.0 |
21 114.0 |
18 308.0 |
18 858.0 |
17 107.0 |
15 741.0 |
Inwestycje długoterminowe |
7 521.4 |
8 122.7 |
9 343.3 |
9 288.6 |
9 648.8 |
10 162.3 |
10 444.0 |
10 308.2 |
9 197.1 |
9 510.9 |
11 152.6 |
11 450.2 |
11 775.8 |
10 659.6 |
10 727.0 |
39 152.5 |
53 162.7 |
10 518.9 |
10 574.3 |
10 371.4 |
10 258.7 |
9 165.9 |
8 877.5 |
9 518.9 |
9 371.6 |
11 033.5 |
10 785.7 |
10 807.1 |
10 733.9 |
10 879.4 |
10 583.4 |
9 388.5 |
9 587.9 |
10 506.8 |
10 180.5 |
10 138.2 |
10 141.5 |
10 527.0 |
10 599.6 |
10 454.7 |
10 555.8 |
11 454.1 |
Aktywa obrotowe |
9 718.5 |
13 006.4 |
14 803.1 |
15 184.2 |
17 176.3 |
19 848.3 |
16 787.0 |
14 459.8 |
15 367.2 |
16 016.0 |
17 380.3 |
16 104.8 |
17 835.2 |
21 529.8 |
20 634.7 |
19 633.0 |
20 628.9 |
38 106.0 |
39 261.4 |
37 536.9 |
37 684.1 |
38 598.8 |
45 764.4 |
43 195.1 |
56 323.2 |
52 064.5 |
47 030.5 |
54 556.5 |
46 365.9 |
48 826.7 |
46 849.9 |
54 615.1 |
55 787.1 |
50 296.1 |
50 940.0 |
50 655.5 |
49 449.7 |
42 575.7 |
44 437.4 |
46 366.1 |
40 454.2 |
41 287.6 |
Środki pieniężne i Inwestycje |
2 665.8 |
5 372.4 |
2 700.7 |
3 265.9 |
4 067.3 |
4 002.8 |
5 454.8 |
2 839.7 |
3 975.8 |
4 398.8 |
5 113.3 |
3 531.6 |
4 304.6 |
7 031.4 |
5 613.7 |
3 406.2 |
4 587.0 |
12 759.9 |
13 723.7 |
12 035.0 |
11 986.8 |
13 330.8 |
20 711.7 |
19 513.7 |
31 675.1 |
26 188.1 |
22 079.5 |
29 065.3 |
23 283.4 |
25 096.5 |
17 852.3 |
26 247.8 |
27 226.8 |
22 966.0 |
22 979.6 |
21 585.3 |
19 902.5 |
14 260.0 |
13 702.7 |
14 834.3 |
10 340.1 |
13 319.0 |
Zapasy |
2 551.4 |
2 887.8 |
7 204.6 |
7 685.7 |
7 728.5 |
9 699.8 |
4 843.2 |
4 681.2 |
4 881.4 |
5 311.3 |
4 669.3 |
4 883.2 |
4 649.3 |
5 003.2 |
5 040.8 |
5 165.8 |
4 839.0 |
5 600.6 |
5 417.4 |
5 208.3 |
5 561.7 |
5 566.9 |
5 561.0 |
5 785.9 |
5 887.5 |
5 640.3 |
4 830.1 |
4 789.6 |
4 891.7 |
5 057.9 |
5 842.6 |
6 167.1 |
6 088.9 |
6 005.5 |
5 693.4 |
5 687.3 |
5 726.8 |
5 638.6 |
5 829.1 |
6 098.0 |
6 085.4 |
6 003.9 |
Inwestycje krótkoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
1 695.2 |
766.3 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Środki pieniężne i inne aktywa pieniężne |
2 665.8 |
5 372.4 |
2 700.7 |
3 265.9 |
4 067.3 |
4 002.8 |
5 454.8 |
2 839.7 |
3 975.8 |
4 398.8 |
5 113.3 |
3 531.6 |
4 304.6 |
5 336.2 |
4 847.4 |
3 406.2 |
4 587.0 |
12 759.9 |
13 723.7 |
12 035.0 |
11 986.8 |
13 330.8 |
20 711.7 |
19 513.7 |
31 675.1 |
26 188.1 |
22 079.5 |
29 065.3 |
23 283.4 |
25 096.5 |
17 852.3 |
26 247.8 |
27 226.8 |
22 966.0 |
22 979.6 |
21 585.3 |
19 902.5 |
14 260.0 |
13 702.7 |
14 834.3 |
10 340.1 |
13 319.0 |
Należności krótkoterminowe |
1 623.1 |
1 852.1 |
1 860.4 |
1 604.5 |
1 899.7 |
2 536.7 |
2 821.7 |
2 358.6 |
2 423.4 |
2 628.9 |
2 482.1 |
2 140.8 |
2 122.2 |
2 844.4 |
2 632.8 |
2 340.7 |
2 182.0 |
11 987.0 |
12 203.6 |
11 477.6 |
11 257.3 |
11 288.5 |
10 128.8 |
8 335.6 |
8 942.4 |
8 526.6 |
15 245.5 |
15 838.9 |
17 618.8 |
11 483.8 |
18 781.6 |
19 282.5 |
20 414.8 |
12 666.0 |
21 635.3 |
24 038.0 |
23 542.2 |
14 075.0 |
24 726.2 |
23 792.3 |
22 804.1 |
13 191.0 |
Dług krótkoterminowy |
6 192.3 |
6 620.4 |
12 488.9 |
3 928.0 |
2 591.5 |
4 119.6 |
5 140.1 |
2 614.4 |
3 617.9 |
7 821.1 |
9 925.2 |
11 557.8 |
9 119.9 |
5 319.9 |
7 016.8 |
12 313.2 |
13 350.4 |
17 633.0 |
18 548.4 |
22 126.3 |
13 724.7 |
9 971.2 |
30 786.3 |
20 093.5 |
27 297.9 |
19 224.7 |
24 918.8 |
29 961.8 |
27 015.9 |
32 606.1 |
21 974.4 |
23 518.2 |
42 462.5 |
34 837.8 |
33 803.5 |
36 094.1 |
33 158.2 |
30 823.5 |
25 305.2 |
34 055.5 |
31 442.1 |
27 200.0 |
Zobowiązania krótkoterminowe |
11 628.9 |
13 572.9 |
19 865.1 |
10 723.5 |
10 156.4 |
13 579.9 |
14 448.9 |
11 068.3 |
13 156.0 |
18 009.2 |
19 780.4 |
20 388.0 |
18 763.8 |
16 602.7 |
18 429.5 |
22 696.2 |
24 630.2 |
43 428.9 |
44 720.8 |
47 121.9 |
38 898.8 |
35 591.6 |
55 098.4 |
41 382.3 |
50 317.0 |
41 238.0 |
47 405.0 |
54 982.3 |
53 080.5 |
58 058.3 |
51 822.1 |
53 791.9 |
75 426.8 |
67 554.0 |
66 934.5 |
73 063.4 |
69 683.6 |
66 395.3 |
62 925.7 |
70 220.2 |
65 687.9 |
61 762.4 |
Rozliczenia międzyokresowe |
2 940.8 |
76.2 |
95.2 |
75.0 |
70.3 |
85.1 |
99.2 |
104.1 |
105.0 |
142.6 |
137.4 |
139.7 |
127.6 |
125.5 |
161.3 |
156.9 |
156.4 |
189.9 |
245.1 |
251.3 |
219.2 |
251.9 |
359.0 |
336.9 |
321.2 |
353.7 |
422.1 |
392.5 |
298.7 |
267.6 |
340.4 |
329.9 |
328.6 |
315.3 |
471.8 |
436.3 |
387.1 |
358.0 |
463.8 |
457.0 |
392.5 |
312.7 |
Zobowiązania długoterminowe |
24 965.4 |
30 681.8 |
26 438.3 |
38 131.0 |
43 883.7 |
46 242.2 |
51 180.1 |
52 445.5 |
52 858.6 |
49 647.2 |
48 137.3 |
49 194.8 |
51 675.1 |
51 819.9 |
47 654.6 |
73 862.5 |
70 907.4 |
141 197.3 |
138 329.9 |
133 071.2 |
127 371.0 |
132 724.3 |
225 180.9 |
230 353.9 |
243 848.1 |
244 764.6 |
236 178.1 |
242 033.6 |
243 158.2 |
232 082.2 |
235 945.4 |
231 323.2 |
210 755.8 |
208 046.8 |
202 724.4 |
212 421.5 |
212 313.6 |
205 506.1 |
214 026.2 |
207 389.4 |
189 380.1 |
185 945.8 |
Rezerwy z tytułu odroczonego podatku |
2 162.3 |
2 089.0 |
2 765.6 |
2 756.1 |
2 782.0 |
2 854.6 |
3 636.7 |
3 571.0 |
4 465.8 |
6 050.8 |
5 415.1 |
5 338.3 |
5 184.2 |
5 519.6 |
5 402.9 |
5 372.6 |
5 055.8 |
26 587.4 |
25 720.4 |
25 292.3 |
23 788.6 |
24 144.3 |
25 116.7 |
24 682.2 |
25 704.2 |
25 122.4 |
25 071.0 |
25 545.1 |
25 914.1 |
30 082.4 |
30 351.2 |
29 871.9 |
30 139.2 |
29 244.2 |
29 996.7 |
31 219.2 |
30 902.0 |
30 281.3 |
31 115.5 |
31 978.3 |
29 349.4 |
29 404.2 |
Zobowiązania długoterminowe |
24 965.4 |
30 681.8 |
26 438.3 |
38 131.0 |
43 883.7 |
46 242.2 |
51 180.1 |
52 445.5 |
52 858.6 |
49 647.2 |
48 137.3 |
49 194.8 |
51 675.1 |
51 819.9 |
47 654.6 |
73 862.5 |
70 907.4 |
141 197.3 |
138 329.9 |
133 071.2 |
127 371.0 |
132 724.3 |
225 180.9 |
230 353.9 |
243 848.1 |
244 764.6 |
236 178.1 |
242 033.6 |
243 158.2 |
232 082.2 |
235 945.4 |
231 323.2 |
210 755.8 |
208 046.8 |
202 724.4 |
212 421.5 |
212 313.6 |
205 506.1 |
214 026.2 |
207 389.4 |
189 380.1 |
185 945.8 |
Zobowiązania z tytułu leasingu |
38.7 |
32.7 |
27.6 |
26.6 |
26.0 |
30.5 |
29.3 |
26.6 |
22.1 |
20.0 |
20.5 |
21.0 |
18.7 |
17.7 |
21.9 |
29.3 |
25.8 |
35.8 |
33.0 |
30.2 |
28.1 |
27.3 |
95 231.3 |
92 984.9 |
98 916.0 |
94 602.0 |
92 995.2 |
95 089.8 |
96 579.5 |
92 697.2 |
90 044.0 |
88 241.2 |
89 765.4 |
88 773.0 |
90 441.6 |
93 220.6 |
92 700.6 |
93 783.9 |
93 682.5 |
93 164.1 |
86 311.7 |
85 507.2 |
Zobowiązania ogółem |
36 594.3 |
44 254.7 |
46 303.4 |
48 854.4 |
54 040.1 |
59 822.1 |
65 628.9 |
63 513.9 |
66 014.6 |
67 656.3 |
67 917.8 |
69 582.8 |
70 438.9 |
68 422.6 |
66 084.1 |
96 558.7 |
95 537.7 |
184 626.2 |
183 050.7 |
180 193.0 |
166 269.8 |
168 315.9 |
280 279.3 |
271 736.2 |
294 165.1 |
286 002.6 |
283 583.1 |
297 015.9 |
296 238.7 |
290 140.5 |
287 767.5 |
285 115.1 |
286 182.6 |
275 600.8 |
269 659.0 |
285 484.9 |
281 997.2 |
271 901.4 |
276 951.9 |
277 609.6 |
255 068.0 |
247 708.1 |
Kapitał (fundusz) podstawowy |
4 001.6 |
4 001.6 |
4 002.1 |
4 402.3 |
4 402.3 |
4 402.3 |
4 402.3 |
4 407.5 |
4 410.4 |
4 410.4 |
4 410.4 |
4 410.5 |
4 416.4 |
4 618.9 |
4 618.9 |
4 618.9 |
4 618.9 |
4 618.9 |
4 618.9 |
4 618.9 |
4 619.0 |
4 619.0 |
4 619.0 |
4 619.0 |
5 182.3 |
5 182.3 |
5 191.6 |
5 195.5 |
5 199.0 |
5 213.8 |
5 218.3 |
5 257.4 |
5 275.0 |
5 275.0 |
5 320.6 |
5 469.7 |
5 595.8 |
5 595.8 |
5 670.0 |
5 670.0 |
5 670.0 |
5 670.0 |
Zyski zatrzymane |
14 940.5 |
16 545.3 |
18 702.2 |
17 798.3 |
18 721.7 |
22 140.8 |
25 715.6 |
24 907.3 |
25 897.3 |
27 190.7 |
29 115.1 |
28 308.3 |
29 451.2 |
31 062.5 |
32 781.7 |
32 139.5 |
33 159.3 |
34 624.8 |
34 510.1 |
34 225.0 |
38 343.0 |
40 916.4 |
35 635.4 |
26 860.8 |
20 823.2 |
15 087.3 |
7 323.6 |
3 024.7 |
979.3 |
(729.9) |
(5 091.0) |
(3 692.5) |
421.8 |
2 386.4 |
881.5 |
551.1 |
459.3 |
1 403.7 |
1 704.0 |
2 728.2 |
566.6 |
4 140.6 |
Kapitał własny |
28 399.5 |
30 024.5 |
31 388.1 |
31 418.2 |
32 267.3 |
35 915.4 |
38 895.2 |
37 773.0 |
38 850.3 |
40 796.8 |
42 158.9 |
40 421.8 |
41 675.3 |
50 020.9 |
50 700.5 |
49 277.8 |
63 497.6 |
83 074.1 |
81 946.3 |
80 359.1 |
82 765.3 |
85 867.8 |
80 234.6 |
77 975.0 |
82 767.6 |
76 323.9 |
69 419.7 |
65 612.4 |
63 481.2 |
79 492.4 |
75 663.5 |
79 308.3 |
84 082.9 |
82 609.0 |
92 390.5 |
85 719.9 |
88 073.2 |
87 294.6 |
91 861.6 |
94 773.6 |
89 490.6 |
99 136.8 |
Udziały mniejszościowe |
1 969.0 |
1 967.8 |
2 807.7 |
2 539.7 |
2 772.0 |
3 112.9 |
2 461.6 |
2 503.6 |
2 531.0 |
3 395.1 |
3 264.3 |
2 758.8 |
2 849.3 |
2 692.3 |
2 498.5 |
2 614.7 |
2 567.9 |
11 150.4 |
10 864.4 |
10 651.3 |
10 093.2 |
10 406.6 |
10 260.5 |
9 502.5 |
9 766.7 |
9 343.0 |
8 924.1 |
9 125.7 |
9 526.8 |
11 469.8 |
11 190.3 |
11 418.3 |
11 745.8 |
11 550.0 |
11 633.0 |
10 476.5 |
10 826.5 |
10 657.3 |
11 349.4 |
11 549.1 |
10 922.8 |
11 303.1 |
Pasywa |
64 993.8 |
74 279.1 |
77 691.5 |
80 272.6 |
86 307.4 |
95 737.4 |
104 524.1 |
101 286.8 |
104 865.0 |
108 453.1 |
110 076.6 |
110 004.5 |
112 114.2 |
118 443.6 |
116 784.6 |
145 836.5 |
159 035.3 |
267 700.3 |
264 997.0 |
260 552.1 |
249 035.1 |
254 183.8 |
360 513.9 |
349 711.3 |
376 932.7 |
362 326.5 |
353 002.9 |
362 628.4 |
359 719.9 |
369 632.9 |
363 431.0 |
364 423.4 |
370 265.4 |
358 209.8 |
362 049.4 |
371 204.8 |
370 070.5 |
359 195.9 |
368 813.5 |
372 383.2 |
344 558.6 |
346 844.9 |
Inwestycje |
7 521.4 |
8 122.7 |
9 343.3 |
9 288.6 |
9 648.8 |
10 162.3 |
10 444.0 |
10 308.2 |
9 197.1 |
9 510.9 |
11 152.6 |
11 450.2 |
11 775.8 |
12 354.8 |
11 493.3 |
39 152.5 |
53 162.7 |
10 518.9 |
10 574.3 |
10 371.4 |
10 258.7 |
9 165.9 |
8 877.5 |
9 518.9 |
9 371.6 |
11 033.5 |
10 785.7 |
10 807.1 |
10 733.9 |
10 879.4 |
10 583.4 |
9 388.5 |
9 587.9 |
10 506.8 |
10 180.5 |
10 138.2 |
10 141.5 |
10 527.0 |
10 599.6 |
10 454.7 |
10 555.8 |
11 454.1 |
Dług |
27 699.1 |
34 081.6 |
34 742.9 |
37 780.4 |
41 667.8 |
45 492.3 |
49 877.6 |
48 868.7 |
49 695.1 |
49 831.5 |
51 006.6 |
53 545.5 |
54 018.3 |
50 162.6 |
47 921.8 |
79 367.2 |
77 851.1 |
126 893.9 |
125 977.0 |
124 634.7 |
112 084.6 |
112 373.4 |
224 743.7 |
220 066.5 |
237 139.2 |
230 940.9 |
228 277.4 |
237 370.4 |
232 887.3 |
226 077.9 |
219 201.7 |
216 221.7 |
215 819.1 |
208 123.8 |
199 404.4 |
207 863.7 |
204 631.5 |
197 474.6 |
197 603.2 |
198 816.2 |
184 339.1 |
178 658.1 |
Środki pieniężne i inne aktywa pieniężne |
2 665.8 |
5 372.4 |
2 700.7 |
3 265.9 |
4 067.3 |
4 002.8 |
5 454.8 |
2 839.7 |
3 975.8 |
4 398.8 |
5 113.3 |
3 531.6 |
4 304.6 |
5 336.2 |
4 847.4 |
3 406.2 |
4 587.0 |
12 759.9 |
13 723.7 |
12 035.0 |
11 986.8 |
13 330.8 |
20 711.7 |
19 513.7 |
31 675.1 |
26 188.1 |
22 079.5 |
29 065.3 |
23 283.4 |
25 096.5 |
17 852.3 |
26 247.8 |
27 226.8 |
22 966.0 |
22 979.6 |
21 585.3 |
19 902.5 |
14 260.0 |
13 702.7 |
14 834.3 |
10 340.1 |
13 319.0 |
Dług netto |
25 033.3 |
28 709.3 |
32 042.2 |
34 514.6 |
37 600.5 |
41 489.5 |
44 422.8 |
46 029.0 |
45 719.3 |
45 432.8 |
45 893.2 |
50 013.9 |
49 713.6 |
44 826.4 |
43 074.4 |
75 960.9 |
73 264.1 |
114 134.0 |
112 253.3 |
112 599.7 |
100 097.8 |
99 042.5 |
204 032.0 |
200 552.8 |
205 464.1 |
204 752.8 |
206 197.9 |
208 305.1 |
209 603.8 |
200 981.4 |
201 349.4 |
189 973.9 |
188 592.3 |
185 157.8 |
176 424.8 |
186 278.4 |
184 729.0 |
183 214.6 |
183 900.5 |
183 981.9 |
173 999.0 |
165 339.1 |
Ticker |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
8MI.SG |
Waluta |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |
THB |