Rok finansowy |
1999 |
2000 |
2001 |
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) |
1 399.2 |
1 454.5 |
1 205.4 |
1 410.3 |
1 499.4 |
1 642.4 |
1 667.0 |
1 751.5 |
1 863.4 |
2 115.5 |
2 465.2 |
2 705.8 |
2 846.5 |
2 947.0 |
3 187.2 |
3 322.8 |
3 208.7 |
3 525.0 |
3 720.6 |
4 872.1 |
4 903.0 |
5 085.1 |
5 281.5 |
5 402.6 |
6 914.0 |
6 679.1 |
Aktywa trwałe (mln) |
846.4 |
834.5 |
697.1 |
814.0 |
790.1 |
750.0 |
846.9 |
937.1 |
1 075.4 |
1 196.4 |
1 547.5 |
1 479.7 |
1 493.0 |
1 490.8 |
1 554.8 |
1 693.4 |
1 820.9 |
1 973.7 |
2 116.5 |
3 228.4 |
3 328.8 |
3 497.5 |
3 402.2 |
3 381.2 |
4 746.8 |
4 589.8 |
Rzeczowe aktywa trwałe netto |
308.9 |
305.3 |
264.2 |
320.6 |
295.8 |
261.8 |
267.8 |
318.5 |
327.1 |
349.1 |
372.2 |
358.3 |
359.6 |
364.7 |
377.1 |
401.2 |
419.7 |
439.8 |
458.3 |
502.1 |
505.2 |
519.2 |
459.5 |
528.0 |
799.7 |
726.6 |
Wartość firmy |
0.0 |
0.0 |
267.9 |
314.6 |
322.7 |
326.6 |
351.5 |
436.7 |
466.6 |
584.6 |
741.2 |
724.0 |
727.3 |
755.5 |
800.4 |
874.7 |
928.5 |
991.0 |
1 089.0 |
1 784.4 |
1 811.8 |
1 923.3 |
1 871.3 |
1 970.5 |
2 533.4 |
2 500.8 |
Wartości niematerialne i prawne |
241.3 |
262.0 |
0.0 |
416.9 |
414.2 |
422.5 |
500.3 |
181.6 |
242.5 |
227.6 |
406.0 |
367.2 |
269.5 |
288.1 |
286.6 |
322.8 |
372.2 |
431.5 |
460.4 |
819.5 |
781.5 |
810.6 |
681.5 |
669.9 |
1 196.0 |
1 080.0 |
Wartość firmy i wartości niematerialne i prawne |
241.3 |
262.0 |
267.9 |
416.9 |
414.2 |
422.5 |
500.3 |
618.3 |
709.1 |
812.2 |
1 147.2 |
1 091.2 |
996.8 |
1 043.6 |
1 087.0 |
1 197.5 |
1 300.7 |
1 422.5 |
1 549.4 |
2 603.9 |
2 593.3 |
2 733.9 |
2 552.8 |
2 640.4 |
3 729.4 |
3 580.8 |
Należności netto |
218.7 |
209.8 |
163.4 |
221.2 |
227.1 |
288.5 |
310.4 |
354.3 |
332.4 |
357.0 |
310.1 |
341.8 |
394.3 |
405.2 |
440.9 |
469.8 |
466.6 |
530.0 |
540.3 |
725.4 |
683.0 |
634.7 |
675.3 |
741.6 |
785.4 |
756.0 |
Inwestycje długoterminowe |
0.0 |
0.0 |
92.5 |
76.5 |
80.1 |
65.7 |
79.0 |
0.3 |
39.0 |
35.1 |
28.1 |
30.2 |
42.0 |
36.7 |
35.8 |
44.1 |
49.5 |
56.4 |
57.7 |
56.3 |
55.7 |
71.1 |
69.1 |
65.9 |
79.0 |
84.9 |
Aktywa obrotowe |
552.8 |
620.0 |
508.3 |
596.3 |
709.3 |
892.4 |
820.1 |
814.4 |
788.0 |
919.1 |
917.7 |
1 226.1 |
1 353.5 |
1 456.2 |
1 632.4 |
1 629.4 |
1 387.8 |
1 551.3 |
1 604.1 |
1 643.7 |
1 574.2 |
1 587.6 |
1 879.3 |
2 021.4 |
2 167.2 |
2 089.3 |
Środki pieniężne i Inwestycje |
24.0 |
74.8 |
76.5 |
55.0 |
220.8 |
341.5 |
231.9 |
81.2 |
77.5 |
178.2 |
258.5 |
529.5 |
582.4 |
653.8 |
750.8 |
661.7 |
355.7 |
448.8 |
389.5 |
198.2 |
196.2 |
268.9 |
295.6 |
454.8 |
348.7 |
345.0 |
Zapasy |
278.5 |
298.6 |
242.6 |
258.0 |
207.9 |
216.1 |
237.1 |
338.2 |
322.9 |
335.2 |
263.5 |
298.4 |
318.3 |
341.7 |
385.7 |
441.8 |
540.0 |
532.4 |
634.7 |
651.0 |
633.0 |
607.3 |
662.1 |
740.7 |
832.9 |
841.8 |
Inwestycje krótkoterminowe |
0.0 |
0.0 |
43.1 |
15.0 |
0.0 |
215.6 |
121.3 |
35.9 |
0.0 |
0.0 |
0.0 |
8.8 |
12.8 |
8.8 |
10.1 |
7.8 |
12.2 |
11.2 |
14.5 |
9.2 |
14.2 |
9.3 |
9.4 |
14.3 |
12.6 |
15.9 |
Środki pieniężne i inne aktywa pieniężne |
24.0 |
74.8 |
33.4 |
40.0 |
220.8 |
125.9 |
110.6 |
45.3 |
77.5 |
178.2 |
258.5 |
520.7 |
569.6 |
645.0 |
740.7 |
653.9 |
343.5 |
437.6 |
375.0 |
189.0 |
182.0 |
259.6 |
286.2 |
440.5 |
336.1 |
329.1 |
Należności krótkoterminowe |
75.9 |
69.9 |
55.5 |
86.2 |
103.6 |
132.1 |
159.5 |
163.9 |
154.0 |
168.3 |
130.8 |
160.8 |
215.7 |
213.1 |
225.9 |
244.0 |
289.5 |
291.6 |
326.5 |
393.7 |
347.7 |
378.0 |
532.8 |
529.9 |
563.5 |
541.7 |
Dług krótkoterminowy |
127.1 |
259.5 |
67.7 |
0.0 |
0.0 |
99.9 |
29.6 |
20.9 |
36.7 |
0.0 |
0.0 |
1.8 |
2.9 |
14.1 |
0.3 |
1.4 |
48.2 |
3.2 |
68.1 |
56.1 |
65.4 |
153.1 |
9.7 |
4.7 |
148.0 |
125.4 |
Zobowiązania krótkoterminowe |
343.4 |
489.4 |
283.9 |
254.7 |
288.4 |
409.3 |
360.5 |
382.3 |
419.5 |
425.0 |
417.9 |
445.0 |
492.1 |
447.4 |
467.0 |
499.2 |
603.1 |
589.6 |
706.1 |
839.3 |
844.9 |
948.2 |
1 065.2 |
1 088.5 |
1 323.4 |
1 274.2 |
Rozliczenia międzyokresowe |
0.0 |
0.0 |
141.3 |
0.0 |
0.0 |
157.1 |
151.2 |
177.6 |
23.3 |
0.0 |
0.0 |
0.0 |
18.1 |
16.4 |
15.8 |
18.2 |
15.0 |
11.8 |
10.2 |
27.7 |
31.0 |
30.9 |
16.7 |
45.8 |
111.5 |
0.0 |
Zobowiązania długoterminowe |
200.0 |
195.6 |
185.0 |
411.4 |
381.3 |
288.8 |
308.4 |
353.7 |
361.3 |
682.4 |
745.3 |
797.3 |
880.9 |
831.7 |
805.4 |
887.9 |
856.6 |
1 332.2 |
1 366.6 |
2 233.9 |
2 097.6 |
2 051.5 |
1 975.6 |
1 943.5 |
2 701.299999 |
2 122.2 |
Rezerwy z tytułu odroczonego podatku |
9.9 |
6.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
22.0 |
51.9 |
0.0 |
0.0 |
0.0 |
16.0 |
16.9 |
66.7 |
74.5 |
36.1 |
41.2 |
23.7 |
120.0 |
126.8 |
135.3 |
114.7 |
113.8 |
240.3 |
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 |
0.0 |
0.0 |
0.0 |
101.3 |
107.0 |
85.4 |
115.4 |
118.8 |
117.3 |
Zobowiązania ogółem |
543.4 |
685.0 |
468.9 |
666.1 |
669.7 |
698.1 |
668.9 |
736.0 |
780.8 |
1 107.4 |
1 163.2 |
1 242.3 |
1 373.0 |
1 279.1 |
1 272.4 |
1 387.1 |
1 459.7 |
1 921.8 |
2 072.7 |
3 073.2 |
2 942.5 |
2 999.7 |
3 040.8 |
3 032.0 |
4 024.7 |
3 396.4 |
Kapitał własny |
855.8 |
769.5 |
736.5 |
744.2 |
829.7 |
944.3 |
998.1 |
1 015.5 |
1 082.6 |
1 008.1 |
1 298.2 |
1 459.2 |
1 467.8 |
1 661.2 |
1 906.4 |
1 927.1 |
1 740.6 |
1 592.8 |
1 634.2 |
1 798.9 |
1 960.5 |
2 085.4 |
2 240.7 |
2 370.6 |
2 889.3 |
3 282.7 |
Udziały mniejszościowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
3.8 |
4.3 |
5.7 |
6.7 |
8.4 |
8.6 |
8.4 |
10.4 |
13.7 |
18.3 |
13.4 |
15.4 |
10.9 |
9.7 |
12.3 |
14.4 |
Pasywa |
1 399.2 |
1 454.5 |
1 205.4 |
1 410.3 |
1 499.4 |
1 642.4 |
1 667.0 |
1 751.5 |
1 863.4 |
2 115.5 |
2 465.2 |
2 705.8 |
2 846.5 |
2 947.0 |
3 187.2 |
3 322.8 |
3 208.7 |
3 525.0 |
3 720.6 |
4 872.1 |
4 903.0 |
5 085.1 |
5 281.5 |
5 402.6 |
6 914.0 |
6 679.1 |
Inwestycje |
0.0 |
0.0 |
135.6 |
91.5 |
80.1 |
281.3 |
200.3 |
36.2 |
39.0 |
35.1 |
28.1 |
39.0 |
54.8 |
45.5 |
45.9 |
51.9 |
61.7 |
67.6 |
72.2 |
65.5 |
69.9 |
80.4 |
78.5 |
80.2 |
91.6 |
100.8 |
Dług (mln) |
226.7 |
359.2 |
167.5 |
298.7 |
298.8 |
299.0 |
228.8 |
220.2 |
236.1 |
497.4 |
497.2 |
597.7 |
599.2 |
596.7 |
597.5 |
599.0 |
644.1 |
993.7 |
1 055.2 |
1 793.2 |
1 571.4 |
1 590.0 |
1 445.2 |
1 442.6 |
2 290.0 |
1 719.6 |
Środki pieniężne i inne aktywa pieniężne |
24.0 |
74.8 |
33.4 |
40.0 |
220.8 |
125.9 |
110.6 |
45.3 |
77.5 |
178.2 |
258.5 |
520.7 |
569.6 |
645.0 |
740.7 |
653.9 |
343.5 |
437.6 |
375.0 |
189.0 |
182.0 |
259.6 |
286.2 |
440.5 |
336.1 |
329.1 |
Dług netto |
202.7 |
284.4 |
134.1 |
258.7 |
78.0 |
173.1 |
118.2 |
174.9 |
158.6 |
319.2 |
238.7 |
77.0 |
29.6 |
(48.3) |
(143.2) |
(54.9) |
300.6 |
556.1 |
680.2 |
1 604.2 |
1 389.4 |
1 330.4 |
1 159.0 |
1 002.1 |
1 953.9 |
1 390.5 |
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