Rok finansowy |
2002 |
2003 |
2004 |
2005 |
2006 |
2007 |
2008 |
2009 |
2010 |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
2024 |
Aktywa (mln) |
55 511.0 |
61 475.0 |
67 415.0 |
74 566.0 |
79 057.0 |
88 997.0 |
101 086.0 |
101 953.0 |
108 867.0 |
123 429.0 |
131 850.0 |
138 368.0 |
154 803.0 |
172 174.0 |
188 535.0 |
193 483.0 |
208 980.0 |
228 034.0 |
216 658.0 |
229 527.0 |
246 926.0 |
264 361.0 |
267 732.0 |
Aktywa trwałe (mln) |
19 509.0 |
20 875.0 |
23 592.0 |
47 556.0 |
50 514.0 |
56 619.0 |
62 416.0 |
62 009.0 |
65 716.0 |
74 425.0 |
81 336.0 |
86 194.0 |
97 959.0 |
110 343.0 |
121 671.0 |
121 901.0 |
125 442.0 |
137 404.0 |
134 851.0 |
143 354.0 |
154 722.0 |
169 389.0 |
171 345.0 |
Rzeczowe aktywa trwałe netto |
8 578.0 |
9 708.0 |
10 724.0 |
11 087.0 |
24 927.0 |
28 121.0 |
11 292.0 |
11 385.0 |
11 427.0 |
11 685.0 |
37 809.0 |
41 027.0 |
47 347.0 |
52 724.0 |
55 749.0 |
54 728.0 |
58 373.0 |
65 854.0 |
63 845.0 |
67 090.0 |
74 946.0 |
78 384.0 |
39 581.0 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
369.0 |
369.0 |
364.0 |
364.0 |
364.0 |
380.0 |
380.0 |
380.0 |
379.0 |
380.0 |
1 562.0 |
1 487.0 |
0.0 |
Wartości niematerialne i prawne |
2 741.0 |
3 200.0 |
3 758.0 |
4 593.0 |
0.0 |
0.0 |
5 641.0 |
5 379.0 |
5 031.0 |
5 238.0 |
4 838.0 |
5 810.0 |
6 135.0 |
7 008.0 |
7 793.0 |
9 084.0 |
10 591.0 |
11 349.0 |
11 963.0 |
12 600.0 |
20 214.0 |
18 535.0 |
20 220.0 |
Wartość firmy i wartości niematerialne i prawne |
2 741.0 |
3 200.0 |
3 758.0 |
4 593.0 |
5 312.0 |
5 670.0 |
5 641.0 |
5 379.0 |
5 031.0 |
5 238.0 |
5 207.0 |
6 179.0 |
6 499.0 |
7 372.0 |
8 157.0 |
9 464.0 |
10 971.0 |
11 729.0 |
12 342.0 |
12 980.0 |
21 776.0 |
20 022.0 |
20 220.0 |
Należności netto |
27 855.0 |
31 879.0 |
33 939.0 |
14 253.0 |
15 007.0 |
16 905.0 |
18 778.0 |
19 923.0 |
21 734.0 |
24 494.0 |
24 159.0 |
25 101.0 |
27 645.0 |
33 310.0 |
34 991.0 |
36 346.0 |
43 047.0 |
45 766.0 |
39 659.0 |
39 884.0 |
40 822.0 |
42 199.0 |
2 834.0 |
Inwestycje długoterminowe |
(607.0) |
(1 250.0) |
(1 063.0) |
(740.0) |
1 277.0 |
1 445.0 |
(1 065.0) |
(1 327.0) |
(1 006.0) |
(1 186.0) |
(1 402.0) |
(1 761.0) |
(1 864.0) |
(1 766.0) |
(1 254.0) |
(2 139.0) |
(2 302.0) |
(683.0) |
1 856.0 |
2 268.0 |
(320.0) |
52 157.0 |
553.0 |
Aktywa obrotowe |
36 002.0 |
40 600.0 |
43 823.0 |
27 010.0 |
28 543.0 |
32 378.0 |
38 670.0 |
39 944.0 |
43 151.0 |
49 004.0 |
50 514.0 |
52 174.0 |
56 844.0 |
61 831.0 |
66 864.0 |
71 582.0 |
83 538.0 |
90 630.0 |
81 807.0 |
86 173.0 |
92 204.0 |
94 972.0 |
96 387.0 |
Środki pieniężne i Inwestycje |
3 438.0 |
3 516.0 |
3 960.0 |
4 275.0 |
4 470.0 |
6 015.0 |
10 760.0 |
10 982.0 |
10 694.0 |
11 527.0 |
12 982.0 |
13 223.0 |
13 072.0 |
12 757.0 |
14 945.0 |
17 004.0 |
17 654.0 |
17 991.0 |
18 645.0 |
21 809.0 |
22 034.0 |
17 327.0 |
19 287.0 |
Zapasy |
5 197.0 |
5 693.0 |
6 467.0 |
6 527.0 |
6 794.0 |
7 349.0 |
7 290.0 |
6 555.0 |
7 766.0 |
9 638.0 |
9 725.0 |
9 585.0 |
11 089.0 |
11 071.0 |
11 841.0 |
12 707.0 |
13 047.0 |
15 259.0 |
14 393.0 |
15 539.0 |
19 746.0 |
23 719.0 |
24 387.0 |
Inwestycje krótkoterminowe |
1 105.0 |
1 857.0 |
1 832.0 |
2 654.0 |
3 134.0 |
3 622.0 |
3 306.0 |
3 215.0 |
3 262.0 |
3 751.0 |
4 612.0 |
5 559.0 |
5 384.0 |
6 635.0 |
7 065.0 |
7 965.0 |
6 675.0 |
5 955.0 |
5 108.0 |
5 800.0 |
5 164.0 |
4 131.0 |
0.0 |
Środki pieniężne i inne aktywa pieniężne |
2 333.0 |
1 659.0 |
2 128.0 |
1 621.0 |
1 336.0 |
2 393.0 |
7 454.0 |
7 767.0 |
7 432.0 |
7 776.0 |
8 370.0 |
7 664.0 |
7 688.0 |
6 122.0 |
7 880.0 |
9 039.0 |
10 979.0 |
12 036.0 |
13 537.0 |
16 009.0 |
16 870.0 |
17 327.0 |
19 287.0 |
Należności krótkoterminowe |
3 069.0 |
3 143.0 |
3 376.0 |
3 544.0 |
3 737.0 |
3 551.0 |
2 562.0 |
3 122.0 |
4 351.0 |
5 340.0 |
6 433.0 |
7 475.0 |
7 709.0 |
7 773.0 |
8 512.0 |
9 731.0 |
9 669.0 |
10 182.0 |
8 644.0 |
10 932.0 |
14 120.0 |
15 547.0 |
14 126.0 |
Dług krótkoterminowy |
26 262.0 |
27 449.0 |
30 483.0 |
17 838.0 |
17 116.0 |
21 891.0 |
29 887.0 |
26 934.0 |
26 520.0 |
30 380.0 |
18 696.0 |
20 363.0 |
25 769.0 |
29 615.0 |
30 110.0 |
30 070.0 |
26 652.0 |
33 091.0 |
25 125.0 |
26 064.0 |
25 347.0 |
40 049.0 |
44 491.0 |
Zobowiązania krótkoterminowe |
31 818.0 |
33 226.0 |
36 254.0 |
28 084.0 |
28 555.0 |
33 784.0 |
39 287.0 |
36 919.0 |
40 134.0 |
47 213.0 |
48 431.0 |
50 043.0 |
59 078.0 |
65 591.0 |
67 989.0 |
69 047.0 |
70 909.0 |
82 625.0 |
71 963.0 |
76 466.0 |
84 421.0 |
87 001.0 |
87 689.0 |
Rozliczenia międzyokresowe |
0.0 |
0.0 |
0.0 |
3 125.0 |
3 778.0 |
4 236.0 |
2 758.0 |
2 894.0 |
4 024.0 |
4 467.0 |
19 589.0 |
18 351.0 |
21 344.0 |
23 419.0 |
24 207.0 |
23 710.0 |
2 103.0 |
21 386.0 |
22 102.0 |
22 726.0 |
0.0 |
1 401.0 |
0.0 |
Zobowiązania długoterminowe |
9 822.0 |
12 099.0 |
13 644.0 |
29 509.0 |
31 372.0 |
33 469.0 |
41 526.0 |
45 119.0 |
45 633.0 |
49 113.0 |
53 017.0 |
52 682.0 |
58 288.0 |
63 819.0 |
73 183.0 |
69 888.0 |
79 983.0 |
85 502.0 |
83 175.0 |
77 929.0 |
71 217.0 |
84 437.0 |
85 040.0 |
Rezerwy z tytułu odroczonego podatku |
1 492.0 |
2 501.0 |
2 596.0 |
2 522.0 |
2 758.0 |
2 714.0 |
2 757.0 |
2 769.0 |
2 933.0 |
3 273.0 |
3 040.0 |
3 554.0 |
1 974.0 |
2 116.0 |
2 795.0 |
2 241.0 |
1 806.0 |
632.0 |
509.0 |
1 458.0 |
2 765.0 |
16 268.0 |
0.0 |
Zobowiązania z tytułu leasingu |
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 |
2895.0 |
2511.0 |
2420.0 |
2764.0 |
2055.0 |
0.0 |
Zobowiązania ogółem |
41 640.0 |
45 325.0 |
49 898.0 |
57 593.0 |
59 927.0 |
67 253.0 |
80 813.0 |
82 038.0 |
85 767.0 |
96 326.0 |
101 448.0 |
102 725.0 |
117 366.0 |
129 410.0 |
141 172.0 |
138 935.0 |
150 892.0 |
168 127.0 |
155 138.0 |
154 395.0 |
155 638.0 |
171 438.0 |
172 729.0 |
Kapitał własny |
13 871.0 |
16 150.0 |
17 517.0 |
16 973.0 |
19 126.0 |
21 733.0 |
20 257.0 |
19 902.0 |
23 074.0 |
27 038.0 |
30 295.0 |
35 455.0 |
37 220.0 |
42 530.0 |
47 108.0 |
54 112.0 |
58 088.0 |
59 907.0 |
61 520.0 |
75 132.0 |
91 288.0 |
92 923.0 |
95 003.0 |
Udziały mniejszościowe |
0.0 |
0.0 |
0.0 |
0.0 |
4.0 |
11.0 |
8.0 |
13.0 |
26.0 |
65.0 |
107.0 |
188.0 |
217.0 |
234.0 |
255.0 |
436.0 |
529.0 |
583.0 |
629.0 |
766.0 |
4 163.0 |
3 327.0 |
2 688.0 |
Pasywa |
55 511.0 |
61 475.0 |
67 415.0 |
74 566.0 |
79 057.0 |
88 997.0 |
101 086.0 |
101 953.0 |
108 867.0 |
123 429.0 |
131 850.0 |
138 368.0 |
154 803.0 |
172 174.0 |
188 535.0 |
193 483.0 |
208 980.0 |
228 034.0 |
216 658.0 |
229 527.0 |
246 926.0 |
264 361.0 |
267 732.0 |
Inwestycje |
498.0 |
607.0 |
769.0 |
1 914.0 |
1 277.0 |
1 445.0 |
2 241.0 |
1 888.0 |
2 256.0 |
2 565.0 |
3 210.0 |
3 798.0 |
3 520.0 |
4 869.0 |
5 811.0 |
5 826.0 |
4 373.0 |
5 272.0 |
6 964.0 |
8 068.0 |
4 844.0 |
52 157.0 |
553.0 |
Dług (mln) |
26 262.0 |
27 449.0 |
30 483.0 |
34 668.0 |
35 144.0 |
42 407.0 |
60 384.0 |
61 325.0 |
62 353.0 |
67 977.0 |
53 324.0 |
55 380.0 |
63 526.0 |
72 085.0 |
79 639.0 |
78 854.0 |
86 357.0 |
98 660.0 |
87 582.0 |
83 733.0 |
71 561.0 |
89 564.0 |
111 261.0 |
Środki pieniężne i inne aktywa pieniężne |
2 333.0 |
1 659.0 |
2 128.0 |
1 621.0 |
1 336.0 |
2 393.0 |
7 454.0 |
7 767.0 |
7 432.0 |
7 776.0 |
8 370.0 |
7 664.0 |
7 688.0 |
6 122.0 |
7 880.0 |
9 039.0 |
10 979.0 |
12 036.0 |
13 537.0 |
16 009.0 |
16 870.0 |
17 327.0 |
19 287.0 |
Dług netto |
23 929.0 |
25 790.0 |
28 355.0 |
33 047.0 |
33 808.0 |
40 014.0 |
52 930.0 |
53 558.0 |
54 921.0 |
60 201.0 |
44 954.0 |
47 716.0 |
55 838.0 |
65 963.0 |
71 759.0 |
69 815.0 |
75 378.0 |
86 624.0 |
74 045.0 |
67 724.0 |
54 691.0 |
72 237.0 |
91 974.0 |
Ticker |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
BMW3.DE |
Waluta |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |
EUR |