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) |
13 896.0 |
14 522.0 |
14 606.0 |
15 329.0 |
17 600.0 |
20 708.0 |
20 513.0 |
21 294.0 |
24 694.0 |
25 547.0 |
27 250.0 |
30 156.0 |
31 616.0 |
33 876.0 |
33 550.0 |
31 269.0 |
32 718.0 |
32 906.0 |
37 987.0 |
36 500.0 |
44 659.0 |
47 344.0 |
47 072.0 |
46 455.0 |
50 580.0 |
39 868.0 |
Aktywa trwałe (mln) |
7 830.0 |
8 143.0 |
8 310.0 |
9 270.0 |
9 880.0 |
11 988.0 |
13 398.0 |
12 348.0 |
14 856.0 |
15 949.0 |
16 455.0 |
17 941.0 |
19 376.0 |
20 246.0 |
20 817.0 |
19 504.0 |
21 732.0 |
21 180.0 |
23 710.0 |
22 791.0 |
31 688.0 |
32 362.0 |
31 669.0 |
31 767.0 |
34 201.0 |
23 984.0 |
Rzeczowe aktywa trwałe netto |
5 656.0 |
5 823.0 |
5 615.0 |
5 621.0 |
5 609.0 |
5 711.0 |
5 593.0 |
5 907.0 |
6 582.0 |
6 886.0 |
7 000.0 |
7 279.0 |
7 666.0 |
8 378.0 |
8 652.0 |
8 489.0 |
8 515.0 |
8 516.0 |
8 866.0 |
8 738.0 |
10 191.0 |
10 285.0 |
10 287.0 |
10 007.0 |
9 918.0 |
7 953.0 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
2 419.0 |
2 655.0 |
3 473.0 |
4 082.0 |
4 589.0 |
5 753.0 |
5 832.0 |
6 820.0 |
7 047.0 |
7 385.0 |
7 345.0 |
7 050.0 |
9 249.0 |
9 166.0 |
10 513.0 |
10 051.0 |
13 444.0 |
13 802.0 |
13 486.0 |
12 790.0 |
12 927.0 |
6 281.0 |
Wartości niematerialne i prawne |
657.0 |
852.0 |
1 213.0 |
2 167.0 |
274.0 |
277.0 |
486.0 |
708.0 |
801.0 |
1 398.0 |
1 342.0 |
1 820.0 |
1 916.0 |
1 925.0 |
1 688.0 |
1 435.0 |
2 601.0 |
2 320.0 |
2 936.0 |
2 657.0 |
6 379.0 |
5 835.0 |
5 288.0 |
4 699.0 |
4 226.0 |
1 210.0 |
Wartość firmy i wartości niematerialne i prawne |
657.0 |
852.0 |
1 213.0 |
2 167.0 |
2 693.0 |
2 932.0 |
3 959.0 |
4 790.0 |
5 390.0 |
7 151.0 |
8 449.0 |
9 902.0 |
8 963.0 |
9 310.0 |
9 033.0 |
8 485.0 |
11 850.0 |
11 486.0 |
13 449.0 |
12 708.0 |
19 823.0 |
19 637.0 |
18 774.0 |
17 489.0 |
17 153.0 |
7 491.0 |
Należności netto |
2 778.0 |
2 891.0 |
2 482.0 |
2 840.0 |
3 162.0 |
3 311.0 |
3 121.0 |
3 357.0 |
3 582.0 |
3 325.0 |
3 250.0 |
3 615.0 |
3 867.0 |
4 061.0 |
4 253.0 |
4 238.0 |
4 154.0 |
4 392.0 |
4 911.0 |
5 020.0 |
4 791.0 |
4 705.0 |
4 660.0 |
4 532.0 |
4 864.0 |
3 272.0 |
Inwestycje długoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
218.0 |
227.0 |
272.0 |
480.0 |
778.0 |
638.0 |
928.0 |
686.0 |
1 051.0 |
1 325.0 |
1 575.0 |
930.0 |
126.0 |
145.0 |
150.0 |
188.0 |
196.0 |
214.0 |
262.0 |
967.0 |
244.0 |
2 505.0 |
Aktywa obrotowe |
6 066.0 |
6 379.0 |
6 296.0 |
6 059.0 |
7 720.0 |
8 720.0 |
7 115.0 |
8 946.0 |
9 838.0 |
9 598.0 |
10 795.0 |
12 215.0 |
12 240.0 |
13 630.0 |
12 733.0 |
11 765.0 |
10 986.0 |
11 726.0 |
14 277.0 |
13 709.0 |
12 971.0 |
14 982.0 |
15 403.0 |
14 688.0 |
16 379.0 |
15 884.0 |
Środki pieniężne i Inwestycje |
441.0 |
302.0 |
616.0 |
618.0 |
1 836.0 |
2 757.0 |
1 072.0 |
1 918.0 |
2 475.0 |
2 222.0 |
3 784.0 |
4 478.0 |
3 680.0 |
4 531.0 |
3 337.0 |
2 523.0 |
1 916.0 |
2 678.0 |
4 129.0 |
3 233.0 |
2 451.0 |
5 038.0 |
4 765.0 |
3 893.0 |
5 986.0 |
7 728.0 |
Zapasy |
2 030.0 |
2 312.0 |
2 091.0 |
1 931.0 |
1 816.0 |
1 897.0 |
2 162.0 |
2 601.0 |
2 852.0 |
3 013.0 |
2 639.0 |
3 155.0 |
3 416.0 |
3 837.0 |
3 864.0 |
3 706.0 |
3 518.0 |
3 385.0 |
4 034.0 |
4 366.0 |
4 134.0 |
4 239.0 |
4 985.0 |
5 372.0 |
4 822.0 |
3 698.0 |
Inwestycje krótkoterminowe |
54.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
471.0 |
579.0 |
373.0 |
744.0 |
1 101.0 |
1 461.0 |
1 648.0 |
756.0 |
626.0 |
118.0 |
280.0 |
1 076.0 |
380.0 |
98.0 |
404.0 |
201.0 |
238.0 |
53.0 |
2 128.0 |
Środki pieniężne i inne aktywa pieniężne |
387.0 |
302.0 |
616.0 |
618.0 |
1 836.0 |
2 757.0 |
1 072.0 |
1 447.0 |
1 896.0 |
1 849.0 |
3 040.0 |
3 377.0 |
2 219.0 |
2 883.0 |
2 581.0 |
1 897.0 |
1 798.0 |
2 398.0 |
3 053.0 |
2 853.0 |
2 353.0 |
4 634.0 |
4 564.0 |
3 655.0 |
5 933.0 |
5 600.0 |
Należności krótkoterminowe |
1 008.0 |
1 081.0 |
753.0 |
945.0 |
1 087.0 |
1 168.0 |
1 256.0 |
1 402.0 |
1 505.0 |
1 301.0 |
1 453.0 |
1 662.0 |
1 643.0 |
1 762.0 |
1 799.0 |
1 807.0 |
1 694.0 |
1 798.0 |
1 945.0 |
2 266.0 |
2 228.0 |
2 561.0 |
2 994.0 |
3 183.0 |
3 245.0 |
2 660.0 |
Dług krótkoterminowy |
1 130.0 |
1 866.0 |
1 373.0 |
1 237.0 |
1 202.0 |
2 094.0 |
1 072.0 |
2 506.0 |
901.0 |
1 552.0 |
613.0 |
1 269.0 |
682.0 |
1 085.0 |
1 683.0 |
106.0 |
2 044.0 |
972.0 |
1 853.0 |
1 211.0 |
3 042.0 |
1 062.0 |
1 570.0 |
2 199.0 |
3 172.0 |
2 082.0 |
Zobowiązania krótkoterminowe |
3 819.0 |
4 754.0 |
4 509.0 |
4 457.0 |
5 082.0 |
6 071.0 |
5 238.0 |
7 323.0 |
5 362.0 |
5 839.0 |
4 897.0 |
6 089.0 |
5 441.0 |
6 200.0 |
7 498.0 |
5 998.0 |
7 118.0 |
6 219.0 |
7 687.0 |
7 244.0 |
9 222.0 |
7 948.0 |
9 035.0 |
9 523.0 |
15 297.0 |
11 256.0 |
Rozliczenia międzyokresowe |
5.0 |
0.0 |
0.0 |
0.0 |
196.0 |
226.0 |
237.0 |
299.0 |
323.0 |
322.0 |
316.0 |
369.0 |
389.0 |
471.0 |
521.0 |
541.0 |
518.0 |
551.0 |
513.0 |
617.0 |
430.0 |
498.0 |
529.0 |
538.0 |
572.0 |
15.0 |
Zobowiązania długoterminowe |
3 417.0 |
2 891.0 |
3 484.0 |
4 879.0 |
4 633.0 |
4 259.0 |
5 175.0 |
4 012.0 |
7 585.0 |
9 829.0 |
9 051.0 |
8 050.0 |
10 313.0 |
9 636.0 |
8 104.0 |
12 129.0 |
13 853.0 |
16 344.0 |
18 678.0 |
19 408.0 |
25 311.0 |
26 465.0 |
22 920.0 |
22 162.0 |
30 415.0 |
24 718.0 |
Rezerwy z tytułu odroczonego podatku |
332.0 |
362.0 |
469.0 |
0.0 |
426.0 |
1 284.0 |
1 609.0 |
84.0 |
355.0 |
21.0 |
91.0 |
198.0 |
251.0 |
167.0 |
538.0 |
141.0 |
551.0 |
145.0 |
235.0 |
279.0 |
301.0 |
333.0 |
458.0 |
559.0 |
528.0 |
354.0 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
70.0 |
71.0 |
59.0 |
65.0 |
69.0 |
58.0 |
107.0 |
94.0 |
79.0 |
71.0 |
58.0 |
59.0 |
46.0 |
45.0 |
60.0 |
75.0 |
247.0 |
256.0 |
263.0 |
261.0 |
819.0 |
615.0 |
Zobowiązania ogółem |
7 236.0 |
7 645.0 |
7 993.0 |
9 336.0 |
9 715.0 |
10 330.0 |
10 413.0 |
11 335.0 |
12 947.0 |
15 668.0 |
13 948.0 |
14 139.0 |
15 754.0 |
15 836.0 |
15 602.0 |
18 127.0 |
20 971.0 |
22 563.0 |
26 365.0 |
26 652.0 |
34 533.0 |
34 413.0 |
31 955.0 |
31 685.0 |
45 712.0 |
35 974.0 |
Kapitał własny |
6 289.0 |
6 531.0 |
6 086.0 |
5 993.0 |
7 885.0 |
10 378.0 |
10 100.0 |
9 959.0 |
11 747.0 |
9 879.0 |
13 302.0 |
16 017.0 |
15 862.0 |
18 040.0 |
17 948.0 |
13 142.0 |
11 747.0 |
10 343.0 |
11 622.0 |
9 900.0 |
10 189.0 |
12 995.0 |
15 188.0 |
14 818.0 |
4 868.0 |
3 894.0 |
Udziały mniejszościowe |
371.0 |
346.0 |
527.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
538.0 |
354.0 |
442.0 |
465.0 |
446.0 |
33.0 |
39.0 |
45.0 |
59.0 |
52.0 |
63.0 |
64.0 |
71.0 |
48.0 |
61.0 |
52.0 |
Pasywa |
13 896.0 |
14 522.0 |
14 606.0 |
15 329.0 |
17 600.0 |
20 708.0 |
20 513.0 |
21 294.0 |
24 694.0 |
25 547.0 |
27 250.0 |
30 156.0 |
31 616.0 |
33 876.0 |
33 550.0 |
31 269.0 |
32 718.0 |
32 906.0 |
37 987.0 |
36 500.0 |
44 659.0 |
47 344.0 |
47 072.0 |
46 455.0 |
50 580.0 |
39 868.0 |
Inwestycje |
54.0 |
0.0 |
0.0 |
0.0 |
218.0 |
227.0 |
272.0 |
951.0 |
1 357.0 |
1 011.0 |
1 672.0 |
1 787.0 |
2 512.0 |
2 973.0 |
2 331.0 |
1 556.0 |
244.0 |
425.0 |
1 226.0 |
568.0 |
294.0 |
618.0 |
463.0 |
1 205.0 |
297.0 |
4 633.0 |
Dług (mln) |
2 610.0 |
2 837.0 |
2 893.0 |
3 377.0 |
3 007.0 |
2 892.0 |
2 440.0 |
3 618.0 |
4 989.0 |
6 776.0 |
5 710.0 |
5 452.0 |
5 166.0 |
6 001.0 |
6 009.0 |
6 837.0 |
10 797.0 |
11 650.0 |
13 949.0 |
14 622.0 |
20 560.0 |
19 051.0 |
17 626.0 |
16 200.0 |
16 854.0 |
13 659.0 |
Środki pieniężne i inne aktywa pieniężne |
387.0 |
302.0 |
616.0 |
618.0 |
1 836.0 |
2 757.0 |
1 072.0 |
1 447.0 |
1 896.0 |
1 849.0 |
3 040.0 |
3 377.0 |
2 219.0 |
2 883.0 |
2 581.0 |
1 897.0 |
1 798.0 |
2 398.0 |
3 053.0 |
2 853.0 |
2 353.0 |
4 634.0 |
4 564.0 |
3 655.0 |
5 933.0 |
5 600.0 |
Dług netto |
2 223.0 |
2 535.0 |
2 277.0 |
2 759.0 |
1 171.0 |
135.0 |
1 368.0 |
2 171.0 |
3 093.0 |
4 927.0 |
2 670.0 |
2 075.0 |
2 947.0 |
3 118.0 |
3 428.0 |
4 940.0 |
8 999.0 |
9 252.0 |
10 896.0 |
11 769.0 |
18 207.0 |
14 417.0 |
13 062.0 |
12 545.0 |
10 921.0 |
8 059.0 |
Ticker |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
MMM.DE |
Waluta |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |
USD |