Rok finansowy |
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 |
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 |
85 219.0 |
156 617.0 |
148 369.0 |
144 585.0 |
134 556.0 |
122 978.0 |
122 341.0 |
119 988.0 |
124 545.0 |
125 203.0 |
117 820.0 |
115 882.0 |
114 928.0 |
114 324.0 |
118 323.0 |
123 188.0 |
118 373.0 |
127 802.0 |
124 883.0 |
122 346.0 |
123 440.0 |
120 006.0 |
115 085.0 |
110 102.0 |
109 648.0 |
115 634.0 |
119 989.0 |
134 897.0 |
137 765.0 |
159 402.0 |
163 377.0 |
178 098.0 |
152 167.0 |
141 866.0 |
140 420.0 |
140 994.0 |
146 365.0 |
146 532.0 |
151 031.0 |
139 363.0 |
146 954.0 |
Aktywa trwałe |
50 400.0 |
99 150.0 |
96 857.0 |
95 396.0 |
76 979.0 |
80 565.0 |
82 720.0 |
82 501.0 |
86 560.0 |
86 622.0 |
83 359.0 |
81 441.0 |
78 172.0 |
78 153.0 |
75 369.0 |
75 578.0 |
78 628.0 |
85 388.0 |
84 727.0 |
90 038.0 |
88 513.0 |
87 556.0 |
83 177.0 |
79 701.0 |
76 746.0 |
79 673.0 |
77 365.0 |
79 725.0 |
79 888.0 |
83 972.0 |
79 917.0 |
92 414.0 |
90 304.0 |
90 379.0 |
91 732.0 |
92 927.0 |
99 660.0 |
101 053.0 |
105 493.0 |
97 760.0 |
102 969.0 |
Rzeczowe aktywa trwałe netto |
7 422.0 |
78 509.0 |
76 845.0 |
75 894.0 |
63 795.0 |
66 094.0 |
67 826.0 |
67 882.0 |
70 793.0 |
70 703.0 |
67 585.0 |
65 336.0 |
63 158.0 |
62 390.0 |
59 669.0 |
59 771.0 |
60 302.0 |
67 399.0 |
66 918.0 |
69 266.0 |
67 541.0 |
67 620.0 |
63 912.0 |
60 676.0 |
58 586.0 |
60 673.0 |
58 608.0 |
59 941.0 |
61 120.0 |
62 295.0 |
59 272.0 |
63 870.0 |
60 778.0 |
60 961.0 |
61 522.0 |
62 615.0 |
61 133.0 |
64 887.0 |
62 944.0 |
61 719.0 |
65 686.0 |
Wartość firmy |
2 197.0 |
0.0 |
2 225.0 |
0.0 |
1 314.0 |
0.0 |
1 310.0 |
0.0 |
1 320.0 |
0.0 |
1 212.0 |
0.0 |
1 204.0 |
0.0 |
1 209.0 |
0.0 |
1 284.0 |
0.0 |
1 285.0 |
0.0 |
1 265.0 |
0.0 |
1 351.0 |
0.0 |
1 297.0 |
0.0 |
1 550.0 |
0.0 |
2 862.0 |
0.0 |
2 865.0 |
0.0 |
3 138.0 |
0.0 |
3 144.0 |
0.0 |
3 159.0 |
0.0 |
3 169.0 |
0.0 |
0.0 |
Wartości niematerialne i prawne |
1 448.0 |
3 653.0 |
1 326.0 |
3 465.0 |
1 119.0 |
2 905.0 |
1 572.0 |
2 835.0 |
1 949.0 |
3 262.0 |
1 831.0 |
2 956.0 |
1 721.0 |
2 958.0 |
1 783.0 |
3 047.0 |
805.0 |
3 180.0 |
1 869.0 |
3 189.0 |
763.0 |
3 207.0 |
1 735.0 |
3 025.0 |
751.0 |
3 117.0 |
1 848.0 |
3 724.0 |
1 024.0 |
4 863.0 |
4 851.0 |
5 065.0 |
1 594.0 |
5 492.0 |
5 499.0 |
5 431.0 |
3 246.0 |
6 407.0 |
3 306.0 |
6 448.0 |
6 434.0 |
Wartość firmy i wartości niematerialne i prawne |
1 197.0 |
3 653.0 |
3 551.0 |
3 465.0 |
2 433.0 |
2 905.0 |
2 882.0 |
2 835.0 |
3 269.0 |
3 262.0 |
3 043.0 |
2 956.0 |
2 925.0 |
2 958.0 |
2 992.0 |
3 047.0 |
3 170.0 |
3 180.0 |
3 154.0 |
3 189.0 |
3 059.0 |
3 207.0 |
3 086.0 |
3 025.0 |
2 936.0 |
3 117.0 |
3 398.0 |
3 724.0 |
4 799.0 |
4 863.0 |
4 851.0 |
5 065.0 |
5 525.0 |
5 492.0 |
5 499.0 |
5 431.0 |
6 379.0 |
6 407.0 |
6 475.0 |
6 448.0 |
6 434.0 |
Należności netto |
20 015.0 |
21 450.0 |
18 293.0 |
15 842.0 |
22 630.0 |
12 228.0 |
20 966.0 |
19 675.0 |
11 267.0 |
20 314.0 |
16 572.0 |
16 299.0 |
13 551.0 |
17 561.0 |
16 288.0 |
16 274.0 |
14 853.0 |
17 716.0 |
14 734.0 |
14 067.0 |
11 156.0 |
12 879.0 |
10 933.0 |
10 965.0 |
9 380.0 |
13 581.0 |
14 695.0 |
14 808.0 |
17 412.0 |
24 176.0 |
22 578.0 |
21 775.0 |
18 201.0 |
18 103.0 |
12 245.0 |
15 374.0 |
14 549.0 |
17 603.0 |
16 134.0 |
14 263.0 |
13 184.0 |
Inwestycje długoterminowe |
36 851.0 |
6 853.0 |
6 669.0 |
6 479.0 |
4 051.0 |
5 390.0 |
4 801.0 |
5 448.0 |
6 176.0 |
6 192.0 |
4 252.0 |
6 386.0 |
5 405.0 |
6 086.0 |
6 447.0 |
6 407.0 |
9 216.0 |
8 462.0 |
7 175.0 |
11 529.0 |
11 138.0 |
10 238.0 |
8 378.0 |
9 349.0 |
8 714.0 |
9 184.0 |
7 427.0 |
8 475.0 |
9 066.0 |
10 443.0 |
7 362.0 |
15 528.0 |
15 261.0 |
15 621.0 |
16 330.0 |
16 890.0 |
16 233.0 |
17 209.0 |
17 233.0 |
16 562.0 |
15 577.0 |
Aktywa obrotowe |
34 819.0 |
57 467.0 |
51 512.0 |
49 189.0 |
57 577.0 |
42 413.0 |
39 621.0 |
37 487.0 |
37 985.0 |
38 581.0 |
34 461.0 |
34 441.0 |
36 756.0 |
36 171.0 |
42 954.0 |
47 610.0 |
39 745.0 |
42 414.0 |
40 156.0 |
32 308.0 |
34 927.0 |
32 450.0 |
31 908.0 |
30 401.0 |
32 902.0 |
35 961.0 |
42 624.0 |
55 172.0 |
57 877.0 |
75 430.0 |
83 460.0 |
85 684.0 |
61 863.0 |
51 487.0 |
48 688.0 |
48 067.0 |
46 705.0 |
45 479.0 |
45 538.0 |
41 603.0 |
43 985.0 |
Środki pieniężne i Inwestycje |
9 304.0 |
12 572.0 |
10 769.0 |
10 738.0 |
10 510.0 |
11 333.0 |
11 450.0 |
11 123.0 |
12 078.0 |
11 875.0 |
11 244.0 |
12 228.0 |
13 582.0 |
12 127.0 |
13 916.0 |
16 831.0 |
17 688.0 |
17 237.0 |
17 552.0 |
11 591.0 |
13 138.0 |
11 443.0 |
12 569.0 |
12 914.0 |
15 169.0 |
14 837.0 |
16 120.0 |
14 860.0 |
18 863.0 |
21 341.0 |
17 204.0 |
20 903.0 |
19 910.0 |
19 141.0 |
20 549.0 |
18 504.0 |
16 975.0 |
16 187.0 |
17 434.0 |
15 910.0 |
14 980.0 |
Zapasy |
1 699.0 |
7 590.0 |
7 386.0 |
7 642.0 |
3 905.0 |
3 392.0 |
4 413.0 |
4 558.0 |
4 637.0 |
4 728.0 |
4 858.0 |
4 638.0 |
4 621.0 |
4 326.0 |
4 719.0 |
5 070.0 |
4 651.0 |
4 630.0 |
4 569.0 |
4 679.0 |
4 734.0 |
3 803.0 |
4 158.0 |
4 031.0 |
3 893.0 |
4 414.0 |
4 593.0 |
5 648.0 |
6 072.0 |
6 952.0 |
8 820.0 |
10 159.0 |
7 709.0 |
6 452.0 |
6 074.0 |
6 883.0 |
6 186.0 |
6 283.0 |
6 679.0 |
6 585.0 |
6 259.0 |
Inwestycje krótkoterminowe |
5 024.0 |
5 302.0 |
5 303.0 |
5 306.0 |
5 310.0 |
5 310.0 |
6 351.0 |
6 321.0 |
6 404.0 |
6 410.0 |
6 305.0 |
6 365.0 |
6 219.0 |
6 402.0 |
6 485.0 |
6 504.0 |
6 852.0 |
6 983.0 |
6 998.0 |
7 158.0 |
7 144.0 |
7 802.0 |
6 042.0 |
6 035.0 |
5 756.0 |
6 377.0 |
6 407.0 |
7 496.0 |
10 609.0 |
7 877.0 |
6 304.0 |
9 423.0 |
9 755.0 |
8 995.0 |
9 132.0 |
8 945.0 |
6 782.0 |
7 404.0 |
7 254.0 |
6 543.0 |
6 797.0 |
Środki pieniężne i inne aktywa pieniężne |
4 280.0 |
7 270.0 |
5 466.0 |
5 432.0 |
5 200.0 |
6 023.0 |
5 099.0 |
4 802.0 |
5 674.0 |
5 465.0 |
4 939.0 |
5 863.0 |
7 363.0 |
5 725.0 |
7 431.0 |
10 327.0 |
10 836.0 |
10 254.0 |
10 554.0 |
4 433.0 |
5 994.0 |
3 641.0 |
6 527.0 |
6 879.0 |
9 413.0 |
8 460.0 |
9 713.0 |
7 364.0 |
8 254.0 |
13 464.0 |
10 900.0 |
11 480.0 |
10 155.0 |
10 146.0 |
11 417.0 |
9 559.0 |
10 193.0 |
8 783.0 |
10 180.0 |
9 367.0 |
8 183.0 |
Należności krótkoterminowe |
17 132.0 |
24 649.0 |
14 253.0 |
20 576.0 |
11 355.0 |
14 939.0 |
9 770.0 |
9 226.0 |
13 095.0 |
11 163.0 |
9 381.0 |
9 522.0 |
10 418.0 |
10 956.0 |
15 511.0 |
11 612.0 |
11 645.0 |
12 060.0 |
10 679.0 |
9 759.0 |
10 480.0 |
13 778.0 |
7 943.0 |
12 054.0 |
8 679.0 |
9 136.0 |
10 098.0 |
11 393.0 |
16 795.0 |
18 239.0 |
16 202.0 |
24 436.0 |
19 527.0 |
19 643.0 |
11 122.0 |
9 712.0 |
14 231.0 |
11 028.0 |
12 654.0 |
17 472.0 |
14 231.0 |
Dług krótkoterminowy |
7 287.0 |
10 393.0 |
8 863.0 |
9 987.0 |
8 383.0 |
4 471.0 |
4 654.0 |
4 694.0 |
6 675.0 |
7 060.0 |
7 042.0 |
7 108.0 |
4 528.0 |
3 774.0 |
4 954.0 |
6 161.0 |
5 783.0 |
7 546.0 |
7 214.0 |
6 110.0 |
6 497.0 |
5 525.0 |
5 561.0 |
5 065.0 |
5 640.0 |
5 546.0 |
6 558.0 |
5 685.0 |
5 028.0 |
7 779.0 |
6 536.0 |
8 386.0 |
8 427.0 |
7 300.0 |
7 547.0 |
5 932.0 |
7 185.0 |
9 507.0 |
9 486.0 |
9 349.0 |
10 099.0 |
Zobowiązania krótkoterminowe |
20 698.0 |
42 068.0 |
38 159.0 |
36 934.0 |
36 503.0 |
27 335.0 |
25 271.0 |
23 591.0 |
27 696.0 |
28 714.0 |
26 109.0 |
27 077.0 |
24 822.0 |
24 889.0 |
30 022.0 |
33 565.0 |
28 441.0 |
32 053.0 |
30 635.0 |
27 181.0 |
29 643.0 |
28 224.0 |
25 604.0 |
23 535.0 |
23 691.0 |
25 832.0 |
31 363.0 |
44 846.0 |
43 276.0 |
61 403.0 |
63 942.0 |
72 378.0 |
48 826.0 |
37 387.0 |
33 807.0 |
33 565.0 |
36 059.0 |
36 541.0 |
35 556.0 |
34 248.0 |
38 004.0 |
Rozliczenia międzyokresowe |
2 278.0 |
3 143.0 |
3 099.0 |
2 607.0 |
637.0 |
2 523.0 |
327.0 |
1 834.0 |
526.0 |
2 712.0 |
459.0 |
2 698.0 |
797.0 |
3 209.0 |
2 887.0 |
2 574.0 |
1 315.0 |
3 037.0 |
1 551.0 |
2 397.0 |
2 070.0 |
405.0 |
1 892.0 |
301.0 |
1 715.0 |
429.0 |
760.0 |
422.0 |
1 760.0 |
0.0 |
963.0 |
0.0 |
2 457.0 |
0.0 |
1 775.0 |
1 805.0 |
437.0 |
1 700.0 |
445.0 |
0.0 |
0.0 |
Zobowiązania długoterminowe |
23 992.0 |
46 347.0 |
46 338.0 |
46 477.0 |
44 421.0 |
43 054.0 |
44 767.0 |
46 253.0 |
43 763.0 |
43 356.0 |
42 782.0 |
42 228.0 |
42 027.0 |
41 203.0 |
37 830.0 |
38 755.0 |
38 859.0 |
42 973.0 |
43 242.0 |
43 694.0 |
45 897.0 |
46 397.0 |
50 642.0 |
50 034.0 |
48 464.0 |
49 845.0 |
48 046.0 |
49 771.0 |
49 970.0 |
50 533.0 |
47 423.0 |
47 875.0 |
48 111.0 |
48 926.0 |
51 085.0 |
50 145.0 |
61 741.0 |
54 882.0 |
65 335.0 |
51 637.0 |
53 259.0 |
Rezerwy z tytułu odroczonego podatku |
7 847.0 |
8 332.0 |
7 805.0 |
7 651.0 |
6 852.0 |
6 949.0 |
6 890.0 |
6 510.0 |
6 667.0 |
6 569.0 |
6 228.0 |
6 017.0 |
5 900.0 |
5 705.0 |
4 521.0 |
4 518.0 |
4 272.0 |
4 317.0 |
4 379.0 |
4 428.0 |
4 920.0 |
5 270.0 |
6 018.0 |
5 955.0 |
5 524.0 |
5 759.0 |
5 947.0 |
7 126.0 |
4 835.0 |
5 557.0 |
5 651.0 |
6 186.0 |
5 094.0 |
5 252.0 |
5 565.0 |
4 347.0 |
8 461.0 |
4 931.0 |
9 058.0 |
5 180.0 |
0.0 |
Zobowiązania długoterminowe |
23 992.0 |
46 347.0 |
46 338.0 |
46 477.0 |
44 421.0 |
43 054.0 |
44 767.0 |
46 253.0 |
43 763.0 |
43 356.0 |
42 782.0 |
42 228.0 |
42 027.0 |
41 203.0 |
37 830.0 |
38 755.0 |
38 859.0 |
42 973.0 |
43 242.0 |
43 694.0 |
45 897.0 |
46 397.0 |
50 642.0 |
50 034.0 |
48 464.0 |
49 845.0 |
48 046.0 |
49 771.0 |
49 970.0 |
50 533.0 |
47 423.0 |
47 875.0 |
48 111.0 |
48 926.0 |
51 085.0 |
50 145.0 |
61 741.0 |
54 882.0 |
65 335.0 |
51 637.0 |
53 259.0 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
(24.0) |
0.0 |
0.0 |
0.0 |
0.0 |
(14 290.0) |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
5 818.0 |
5 722.0 |
5 808.0 |
5 648.0 |
5 761.0 |
5 642.0 |
5 328.0 |
5 018.0 |
5 268.0 |
5 283.0 |
5 313.0 |
5 337.0 |
5 370.0 |
4 905.0 |
5 089.0 |
4 951.0 |
4 838.0 |
4 726.0 |
4 899.0 |
5 336.0 |
5 414.0 |
5 341.0 |
5 126.0 |
6 453.0 |
Zobowiązania ogółem |
44 690.0 |
88 415.0 |
84 497.0 |
83 411.0 |
80 924.0 |
70 389.0 |
70 038.0 |
69 844.0 |
71 459.0 |
72 070.0 |
68 891.0 |
69 305.0 |
66 849.0 |
66 092.0 |
67 852.0 |
72 320.0 |
67 300.0 |
75 026.0 |
73 877.0 |
70 875.0 |
75 540.0 |
74 621.0 |
76 246.0 |
73 569.0 |
72 155.0 |
75 677.0 |
79 409.0 |
94 617.0 |
93 246.0 |
111 936.0 |
111 365.0 |
120 253.0 |
96 937.0 |
86 313.0 |
84 892.0 |
83 710.0 |
97 800.0 |
91 423.0 |
100 891.0 |
85 885.0 |
91 263.0 |
Kapitał (fundusz) podstawowy |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
4 005.0 |
Zyski zatrzymane |
4 455.0 |
704.0 |
591.0 |
(361.0) |
(8 821.0) |
(792.0) |
(1 242.0) |
(1 804.0) |
(1 464.0) |
965.0 |
983.0 |
1 327.0 |
3 374.0 |
946.0 |
2 198.0 |
3 727.0 |
40 828.0 |
40 112.0 |
39 303.0 |
39 644.0 |
37 586.0 |
33 090.0 |
27 145.0 |
26 640.0 |
25 408.0 |
26 250.0 |
25 633.0 |
25 194.0 |
28 571.0 |
32 129.0 |
34 216.0 |
38 241.0 |
37 342.0 |
38 235.0 |
38 111.0 |
38 661.0 |
37 759.0 |
37 997.0 |
37 334.0 |
36 520.0 |
35 038.0 |
Kapitał własny |
42 984.0 |
68 202.0 |
63 872.0 |
61 174.0 |
53 632.0 |
52 589.0 |
52 303.0 |
50 144.0 |
53 086.0 |
53 133.0 |
48 929.0 |
46 577.0 |
48 079.0 |
48 232.0 |
50 471.0 |
50 868.0 |
51 073.0 |
52 776.0 |
51 006.0 |
51 471.0 |
47 900.0 |
45 385.0 |
38 839.0 |
36 533.0 |
37 493.0 |
39 957.0 |
40 580.0 |
40 280.0 |
44 519.0 |
47 466.0 |
52 012.0 |
57 845.0 |
55 230.0 |
55 553.0 |
55 528.0 |
57 284.0 |
48 565.0 |
55 109.0 |
50 140.0 |
53 478.0 |
55 691.0 |
Udziały mniejszościowe |
2 455.0 |
2 430.0 |
1 981.0 |
2 019.0 |
1 916.0 |
47.0 |
46.0 |
48.0 |
49.0 |
52.0 |
48.0 |
48.0 |
49.0 |
51.0 |
53.0 |
54.0 |
57.0 |
60.0 |
57.0 |
58.0 |
61.0 |
108.0 |
72.0 |
73.0 |
78.0 |
82.0 |
84.0 |
88.0 |
82.0 |
100.0 |
95.0 |
484.0 |
471.0 |
471.0 |
421.0 |
437.0 |
460.0 |
865.0 |
861.0 |
2 441.0 |
2 863.0 |
Pasywa |
85 219.0 |
156 617.0 |
148 369.0 |
144 585.0 |
134 556.0 |
122 978.0 |
122 341.0 |
119 988.0 |
124 545.0 |
125 203.0 |
117 820.0 |
115 882.0 |
114 928.0 |
114 324.0 |
118 323.0 |
123 188.0 |
118 373.0 |
127 802.0 |
124 883.0 |
122 346.0 |
123 440.0 |
120 006.0 |
115 085.0 |
110 102.0 |
109 648.0 |
115 634.0 |
119 989.0 |
134 897.0 |
137 765.0 |
159 402.0 |
163 377.0 |
178 098.0 |
152 167.0 |
141 866.0 |
140 420.0 |
140 994.0 |
146 365.0 |
146 532.0 |
151 031.0 |
139 363.0 |
146 954.0 |
Inwestycje |
10 487.0 |
12 155.0 |
11 972.0 |
11 785.0 |
8 650.0 |
10 700.0 |
11 152.0 |
11 769.0 |
10 795.0 |
12 602.0 |
10 557.0 |
12 751.0 |
10 022.0 |
12 488.0 |
12 932.0 |
12 911.0 |
14 879.0 |
15 445.0 |
14 173.0 |
18 687.0 |
18 282.0 |
18 040.0 |
14 420.0 |
15 384.0 |
14 470.0 |
15 561.0 |
13 834.0 |
15 971.0 |
13 554.0 |
18 320.0 |
18 374.0 |
24 951.0 |
24 987.0 |
24 616.0 |
25 462.0 |
25 835.0 |
23 015.0 |
24 613.0 |
24 487.0 |
23 105.0 |
22 393.0 |
Dług |
24 687.0 |
28 161.0 |
27 460.0 |
29 281.0 |
27 776.0 |
23 911.0 |
25 788.0 |
27 579.0 |
27 239.0 |
27 285.0 |
27 075.0 |
27 508.0 |
24 707.0 |
23 638.0 |
23 991.0 |
26 036.0 |
25 865.0 |
31 607.0 |
31 022.0 |
29 943.0 |
30 166.0 |
30 031.0 |
33 030.0 |
32 693.0 |
31 704.0 |
32 294.0 |
31 960.0 |
31 424.0 |
33 131.0 |
35 278.0 |
32 622.0 |
32 402.0 |
31 868.0 |
31 754.0 |
33 463.0 |
32 041.0 |
39 144.0 |
36 417.0 |
42 166.0 |
35 338.0 |
36 843.0 |
Środki pieniężne i inne aktywa pieniężne |
4 280.0 |
7 270.0 |
5 466.0 |
5 432.0 |
5 200.0 |
6 023.0 |
5 099.0 |
4 802.0 |
5 674.0 |
5 465.0 |
4 939.0 |
5 863.0 |
7 363.0 |
5 725.0 |
7 431.0 |
10 327.0 |
10 836.0 |
10 254.0 |
10 554.0 |
4 433.0 |
5 994.0 |
3 641.0 |
6 527.0 |
6 879.0 |
9 413.0 |
8 460.0 |
9 713.0 |
7 364.0 |
8 254.0 |
13 464.0 |
10 900.0 |
11 480.0 |
10 155.0 |
10 146.0 |
11 417.0 |
9 559.0 |
10 193.0 |
8 783.0 |
10 180.0 |
9 367.0 |
8 183.0 |
Dług netto |
20 407.0 |
20 891.0 |
21 994.0 |
23 849.0 |
22 576.0 |
17 888.0 |
20 689.0 |
22 777.0 |
21 565.0 |
21 820.0 |
22 136.0 |
21 645.0 |
17 344.0 |
17 913.0 |
16 560.0 |
15 709.0 |
15 029.0 |
21 353.0 |
20 468.0 |
25 510.0 |
24 172.0 |
26 390.0 |
26 503.0 |
25 814.0 |
22 291.0 |
23 834.0 |
22 247.0 |
24 060.0 |
24 877.0 |
21 814.0 |
21 722.0 |
20 922.0 |
21 713.0 |
21 608.0 |
22 046.0 |
22 482.0 |
28 951.0 |
27 634.0 |
31 986.0 |
25 971.0 |
28 660.0 |
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