Rok finansowy |
2005 |
2006 |
2007 |
2008 |
2009 |
2010 |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
2024 |
Aktywa (mln) |
1 874.111 |
1 974.106 |
2 226.92 |
2 111.175 |
1 981.235 |
2 591.018 |
2 867.272 |
3 221.849 |
3 614.104 |
3 742.014 |
4 256.385 |
5 334.134 |
5 995.731 |
7 022.808 |
7 536.808 |
6 614.192 |
6 765.712 |
7 769.13 |
8 030.765 |
8 185.0 |
Aktywa trwałe (mln) |
1 046.643 |
1 059.641 |
1 141.659 |
1 198.161 |
1 153.071 |
1 539.794 |
1 923.424 |
1 808.295 |
1 888.819 |
1 867.057 |
2 059.627 |
2 737.524 |
2 836.439 |
3 718.396999 |
4 347.267 |
3 924.704 |
4 088.938 |
4 756.043 |
4 953.749 |
5 217.0 |
Rzeczowe aktywa trwałe netto |
629.697 |
669.556 |
663.335 |
633.223 |
585.748 |
727.191 |
826.115 |
952.705 |
1 017.265 |
1 065.203 |
1 209.259 |
1 423.842 |
1 481.625 |
1 716.914 |
2 013.012 |
1 742.803 |
1 701.383 |
2 034.618 |
1 963.104 |
2 072.0 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
305.348 |
0.0 |
294.96 |
293.877 |
272.223 |
275.149 |
579.958 |
584.685 |
1 015.73 |
1 017.83 |
1 014.369 |
1 026.872 |
1 100.355 |
1 297.039 |
1 302.0 |
Wartości niematerialne i prawne |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
284.936 |
0.0 |
350.272 |
342.624 |
351.736 |
381.17 |
484.322 |
497.858 |
728.151 |
1 742.588 |
1 575.23 |
1 565.664 |
1 742.72 |
720.043 |
792.0 |
Wartość firmy i wartości niematerialne i prawne |
283.076 |
291.683 |
371.414 |
401.562 |
339.698 |
590.284 |
624.631 |
645.232 |
636.501 |
623.959 |
656.319 |
1 064.28 |
1 082.543 |
1 743.881 |
2 760.418 |
2 589.599 |
2 592.536 |
2 843.075 |
2 017.082 |
2 094.0 |
Należności netto |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
529.223 |
728.063 |
0.0 |
532.847999 |
532.982999 |
596.762 |
843.39 |
982.935 |
837.907 |
1 192.437 |
1 106.95 |
1 074.445 |
1 495.476 |
1 387.042 |
0.0 |
Inwestycje długoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
152.96 |
0.0 |
106.433 |
51.026 |
55.842 |
177.895 |
194.049 |
249.402 |
272.271 |
257.601999 |
484.314 |
471.338 |
688.932 |
770.952 |
808.145 |
0.0 |
Aktywa obrotowe |
827.468 |
914.465 |
1 042.305 |
913.015 |
828.164 |
1 051.224 |
943.848 |
1 413.554 |
1 725.285 |
1 641.788 |
1 935.442 |
2 265.389 |
2 869.502 |
3 022.103 |
3 189.541 |
2 689.488 |
2 676.774 |
3 013.087 |
3 077.016 |
2 967.0 |
Środki pieniężne i Inwestycje |
154.542 |
123.497 |
146.143 |
173.22 |
181.682 |
194.245 |
215.785 |
333.226 |
594.71 |
590.98 |
748.067 |
406.341 |
1 049.829 |
1 022.388 |
1 204.516 |
883.091 |
946.091 |
620.122 |
663.909 |
694.0 |
Zapasy |
216.413 |
270.848 |
293.291 |
295.022 |
206.049 |
273.337 |
261.399 |
271.791 |
282.136 |
313.476 |
347.413 |
388.689 |
414.013 |
737.107 |
787.561 |
691.822 |
656.147 |
886.337 |
1 021.672 |
935.0 |
Inwestycje krótkoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
(35.512) |
0.0 |
6.202 |
1.764 |
1.014 |
0.01 |
19.03 |
24.016 |
24.011 |
14.003 |
5.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Środki pieniężne i inne aktywa pieniężne |
154.542 |
123.497 |
146.143 |
173.22 |
181.682 |
194.245 |
209.583 |
331.462 |
593.696 |
590.97 |
729.037 |
382.325 |
1 025.818 |
1 008.385 |
1 204.516 |
883.091 |
946.091 |
620.122 |
663.909 |
694.0 |
Należności krótkoterminowe |
481.191 |
554.155 |
550.368 |
438.88 |
386.983 |
527.496 |
641.634 |
732.126 |
799.772 |
733.287 |
895.437 |
1 148.941 |
1 144.978 |
1 442.777 |
1 367.382 |
1 278.132 |
1 191.812 |
1 563.718 |
1 621.627 |
1 509.0 |
Dług krótkoterminowy |
302.254 |
178.072 |
195.566 |
166.475 |
151.064 |
142.969 |
199.408 |
204.282 |
97.002 |
97.016 |
127.124 |
189.234 |
419.538 |
134.796 |
721.363 |
363.877 |
515.162 |
873.431 |
1 321.421 |
1 141.0 |
Zobowiązania krótkoterminowe |
1 080.911 |
1 105.219 |
1 159.509 |
959.915 |
877.007 |
1 108.251 |
1 392.701 |
1 581.322 |
1 523.627 |
1 448.712 |
1 683.289 |
2 266.984 |
2 529.309 |
2 750.649 |
3 340.934 |
2 789.843 |
2 811.114 |
3 747.112 |
4 423.005 |
4 199.0 |
Rozliczenia międzyokresowe |
32.623 |
24.305 |
58.808 |
46.137 |
47.069 |
61.708 |
65.802 |
524.623 |
501.99 |
(97.016) |
(127.124) |
200.698 |
215.265 |
355.831 |
352.935 |
319.711 |
311.674 |
347.38 |
445.765 |
0.0 |
Zobowiązania długoterminowe |
352.127 |
386.016 |
534.877 |
714.589 |
665.267 |
865.332 |
720.172 |
772.789 |
1 096.468 |
931.825 |
948.813 |
1 132.724 |
1 336.274 |
1 650.27 |
1 623.038999 |
1 577.056999 |
1 568.758999 |
1 737.567 |
1 237.110999 |
1 509.0 |
Rezerwy z tytułu odroczonego podatku |
31.825 |
30.892 |
9.289 |
32.327 |
23.373 |
52.601 |
51.233 |
55.054 |
53.316 |
46.917 |
58.843 |
77.702 |
20.217 |
80.232 |
54.639 |
51.548 |
49.847 |
48.506 |
35.63 |
40.0 |
Zobowiązania z tytułu leasingu |
61.771 |
42.11 |
24.115 |
18.292 |
28.537 |
0.0 |
0.0 |
22.247 |
13.222 |
8.681 |
4.136999 |
14.238 |
11.671 |
9.216 |
150.127 |
149.164 |
137.182 |
206.474 |
286.642 |
309.0 |
Zobowiązania ogółem |
1 433.038 |
1 491.235 |
1 694.386 |
1 674.504 |
1 542.274 |
1 973.583 |
2 112.873 |
2 354.111 |
2 620.095 |
2 567.385 |
2 850.738 |
3 684.677 |
4 071.805 |
4 637.205 |
4 963.973 |
4 366.9 |
4 379.873 |
5 484.679 |
5 660.116 |
5 708.0 |
Kapitał własny |
441.073 |
482.871 |
532.534 |
436.671 |
438.961 |
617.435 |
754.399 |
867.738 |
994.009 |
1 174.628999 |
1 405.647 |
1 649.457 |
1 923.926 |
2 385.603 |
2 569.065 |
2 237.511 |
2 372.517 |
2 263.507 |
2 349.601 |
2 477.0 |
Udziały mniejszościowe |
198.812 |
215.853 |
224.064 |
178.211 |
170.958 |
258.472 |
301.792 |
340.068 |
388.052 |
449.208 |
541.082 |
638.868 |
740.396 |
943.0 |
1 002.582 |
820.395 |
855.481 |
770.404 |
799.465 |
828.0 |
Pasywa |
1 874.111 |
1 974.106 |
2 226.92 |
2 111.175 |
1 981.235 |
2 591.018 |
2 867.272 |
3 221.849 |
3 614.104 |
3 742.014 |
4 256.385 |
5 334.134 |
5 995.731 |
7 022.808 |
7 536.808 |
6 614.192 |
6 765.712 |
7 769.13 |
8 030.765 |
8 185.0 |
Inwestycje |
44.376 |
16.558 |
29.97 |
49.961 |
117.448 |
111.804 |
112.635 |
52.79 |
56.856 |
177.905 |
213.079 |
273.418 |
296.282 |
271.604999 |
484.314 |
471.338 |
688.932 |
770.952 |
808.145 |
618.0 |
Dług (mln) |
585.773 |
486.351 |
671.973 |
791.269 |
739.869 |
875.44 |
770.162 |
812.307 |
1 038.302 |
1 034.33 |
1 080.074 |
1 336.196 |
1 767.483 |
1 794.282 |
2 151.963 |
1 757.752 |
1 913.316 |
2 443.395 |
2 384.828 |
2 447.0 |
Środki pieniężne i inne aktywa pieniężne |
154.542 |
123.497 |
146.143 |
173.22 |
181.682 |
194.245 |
209.583 |
331.462 |
593.696 |
590.97 |
729.037 |
382.325 |
1 025.818 |
1 008.385 |
1 204.516 |
883.091 |
946.091 |
620.122 |
663.909 |
694.0 |
Dług netto |
431.231 |
362.854 |
525.83 |
618.049 |
558.187 |
681.195 |
560.579 |
480.845 |
444.606 |
443.36 |
351.037 |
953.871 |
741.665 |
785.897 |
947.447 |
874.661 |
967.225 |
1 823.273 |
1 720.919 |
1 753.0 |
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