National Grid plc

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dane w mln

index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26
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 2025
Aktywa (mln) 5 093.9 8 766.8 9 982.6 17 416.0 24 943.0 23 397.0 27 560.0 25 924.0 28 389.0 37 771.0 44 467.0 43 553.0 46 400.0 47 335.0 54 705.0 52 384.0 55 089.0 58 934.0 65 840.0 58 787.0 63 412.0 67 560.0 67 216.0 94 860.0 92 697.0 98 325.0 106 742.0
Aktywa trwałe (mln) 3 347.6 6 302.0 7 763.8 11 533.0 18 993.0 18 394.0 25 596.0 22 106.0 21 109.0 30 830.0 37 712.0 38 488.0 40 077.0 41 684.0 42 858.0 43 077.0 47 318.0 50 445.0 50 027.0 49 263.0 52 590.0 61 759.0 57 278.0 76 897.0 80 043.0 87 946.0 92 410.0
Rzeczowe aktywa trwałe netto 3 099.4 4 938.3 5 617.3 9 121.7 16 847.0 16 706.0 22 645.0 18 935.0 18 895.0 24 331.0 29 545.0 30 855.0 31 956.0 33 701.0 36 592.0 37 179.0 40 723.0 43 364.0 39 825.0 39 853.0 44 859.0 49 762.0 47 043.0 57 532.0 64 433.0 68 907.0 74 091.0
Wartość firmy 0.0 0.0 (200.0) 0.0 0.0 0.0 2 031.0 2 142.0 1 480.0 3 904.0 5 391.0 5 102.0 4 776.0 4 776.0 5 028.0 4 594.0 5 145.0 5 315.0 6 096.0 5 444.0 5 372.0 5 712.0 4 588.0 9 532.0 9 847.0 9 729.0 9 532.0
Wartości niematerialne i prawne 15.1 844.7 1 386.2 2 113.0 1 893.0 1 537.0 358.0 321.0 144.0 271.0 370.0 389.0 501.0 546.0 589.0 669.0 802.0 887.0 923.0 899.0 1 084.0 7 007.0 6 031.0 12 804.0 3 604.0 3 431.0 3 564.0
Wartość firmy i wartości niematerialne i prawne 15.1 844.7 1 186.2 2 113.0 1 893.0 1 537.0 2 389.0 2 463.0 1 624.0 4 175.0 5 761.0 5 491.0 5 277.0 5 322.0 5 617.0 5 263.0 5 947.0 6 202.0 7 019.0 6 343.0 6 456.0 12 719.0 10 619.0 22 336.0 13 451.0 13 160.0 13 096.0
Należności netto 0.0 0.0 1 896.9 5 582.3 5 206.0 4 296.0 4 043.0 1 519.0 3 449.81985 2 302.0 2 831.0 2 293.0 2 212.0 1 971.0 1 325.0 1 602.0 1 568.0 1 276.0 1 593.0 1 674.0 3 153.0 2 680.0 2 599.0 3 392.0 2 072.0 2 018.0 3 752.0
Inwestycje długoterminowe 216.5 502.4 960.3 298.3 (229.0) 151.0 148.0 160.0 (1 961.0) 1 314.0 361.0 486.0 593.0 592.0 649.0 635.0 648.0 879.0 3 183.0 3 067.0 1 275.0 3 057.0 2 446.0 2 670.0 2 159.0 1 685.0 1 406.0
Aktywa obrotowe 1 746.3 2 464.8 2 218.8 5 883.0 5 950.0 5 003.0 1 964.0 3 818.0 7 280.0 6 941.0 6 755.0 5 065.0 6 323.0 5 651.0 9 576.0 7 489.0 6 031.0 6 312.0 13 574.0 6 681.0 7 946.0 5 801.0 9 938.0 17 963.0 9 166.0 10 379.0 14 332.0
Środki pieniężne i Inwestycje 1 541.1 1 028.2 271.2 228.0 601.0 616.0 670.0 1 836.0 3 691.0 2 269.0 2 934.0 2 365.0 3 791.0 2 723.0 6 102.0 3 953.0 2 678.0 3 125.0 9 880.0 3 023.0 2 233.0 2 071.0 2 499.0 3 349.0 2 768.0 4 247.0 6 931.0
Zapasy 12.7 29.3 34.1 56.1 126.0 91.0 101.0 108.0 108.0 438.0 556.0 407.0 320.0 376.0 283.0 215.0 277.0 336.0 300.0 268.0 370.0 549.0 439.0 511.0 740.0 730.0 557.0
Inwestycje krótkoterminowe 16.6 16.6 16.6 15.4 482.0 520.0 398.0 384.0 2 098.0 2 095.0 2 197.0 1 645.0 3 407.0 2 391.0 5 431.0 3 599.0 2 559.0 2 998.0 8 741.0 2 694.0 1 981.0 1 998.0 2 342.0 3 145.0 841.0 3 699.0 5 753.0
Środki pieniężne i inne aktywa pieniężne 1 524.5 1 011.6 271.2 212.6 601.0 616.0 272.0 1 452.0 1 593.0 174.0 737.0 720.0 384.0 332.0 671.0 354.0 119.0 127.0 1 139.0 329.0 252.0 73.0 157.0 204.0 163.0 548.0 1 178.0
Należności krótkoterminowe 308.3 529.5 648.9 769.8 5 046.0 1 031.0 2 337.0 2 095.0 1 852.0 2 480.0 2 835.0 2 847.0 2 828.0 2 685.0 2 033.0 1 942.0 2 050.0 2 038.0 2 135.0 1 977.0 3 769.0 2 205.0 2 165.0 3 113.0 3 249.0 2 786.0 2 965.0
Dług krótkoterminowy 590.6 669.0 2 213.7 2 969.3 5 046.0 4 513.0 3 261.0 2 842.0 1 031.0 3 882.0 3 253.0 2 806.0 2 952.0 2 492.0 3 448.0 3 511.0 3 028.0 3 611.0 5 496.0 4 447.0 4 472.0 4 072.0 3 737.0 12 121.0 2 955.0 4 859.0 4 662.0
Zobowiązania krótkoterminowe 1 414.9 1 861.1 2 213.7 2 969.3 5 046.0 4 513.0 5 974.0 5 683.0 3 360.0 7 146.0 7 026.0 6 559.0 6 826.0 6 004.0 7 445.0 7 331.0 7 374.0 7 721.0 10 511.0 8 697.0 9 129.0 8 564.0 9 368.0 24 770.0 9 130.0 11 389.0 10 621.0
Rozliczenia międzyokresowe 0.0 0.0 0.0 0.0 0.0 (5 544.0) 0.0 191.98116 231.52395 670.0 631.0 244.0 261.0 305.0 (3 448.0) 224.0 236.0 275.0 298.0 440.0 365.0 297.0 358.0 754.0 827.0 0.0 0.0
Zobowiązania długoterminowe 1 726.5 3 961.6 4 251.3 11 152.3 18 661.0 17 613.0 19 465.0 16 748.0 20 893.0 25 251.0 33 457.0 32 783.0 30 505.0 32 085.0 25 746.0 23 112.0 24 487.0 26 275.0 24 069.0 22 591.0 24 258.0 39 203.0 37 988.0 46 234.0 40 438.0 57 044.0 58 295.0
Rezerwy z tytułu odroczonego podatku 0.0 72.1 1 172.5 1 811.5 0.0 2 944.0 3 189.0 2 161.0 2 389.0 3 259.0 2 661.0 3 324.0 3 766.0 3 738.0 4 076.0 4 082.0 4 297.0 7 324.0 8 573.0 3 636.0 3 965.0 4 446.0 4 815.0 6 765.0 7 181.0 0.0 8 038.0
Zobowiązania z tytułu leasingu 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 202.0 202.0 207.0 195.0 170.0 203.0 242.0 242.0 205.0 205.0 586.0 451.0 451.0 618.0 779.0 829.0
Zobowiązania ogółem 3 141.4 5 822.7 6 465.0 14 121.6 23 707.0 22 126.0 25 439.0 22 431.0 24 253.0 32 397.0 40 483.0 39 342.0 37 331.0 38 089.0 44 471.0 40 465.0 43 115.0 45 369.0 45 456.0 39 939.0 43 844.0 47 767.0 47 356.0 71 004.0 63 135.0 68 433.0 68 916.0
Kapitał własny 1 952.5 2 944.1 3 517.6 3 294.4 1 236.0 1 271.0 2 121.0 3 493.0 4 136.0 5 374.0 3 984.0 4 211.0 9 069.0 9 246.0 10 234.0 11 919.0 11 974.0 13 565.0 20 384.0 18 848.0 19 568.0 19 793.0 19 860.0 23 856.0 29 562.0 29 892.0 37 826.0
Udziały mniejszościowe 0.0 35.1 41.8 97.8 84.0 50.0 10.0 11.0 11.0 18.0 14.0 12.0 9.0 7.0 5.0 8.0 12.0 10.0 16.0 16.0 20.0 22.0 21.0 23.0 24.0 25.0 23.0
Pasywa 5 093.9 8 766.8 9 982.6 17 416.0 24 943.0 23 397.0 27 560.0 25 924.0 28 389.0 37 771.0 44 467.0 43 553.0 46 400.0 47 335.0 54 705.0 52 384.0 55 089.0 58 934.0 69 934.0 58 787.0 62 963.0 67 560.0 67 216.0 94 860.0 92 697.0 98 325.0 106 742.0
Inwestycje 233.1 519.0 960.3 298.3 253.0 151.0 148.0 160.0 137.0 251.0 361.0 486.0 593.0 592.0 6 080.0 4 234.0 3 207.0 3 877.0 11 924.0 5 761.0 3 256.0 5 055.0 4 788.0 5 815.0 3 000.0 2 300.0 1 406.0
Dług (mln) 1 637.3 3 006.2 3 755.5 8 118.0 14 255.0 13 464.0 11 047.0 10 287.0 14 686.0 17 121.0 23 540.0 22 318.0 20 246.0 20 533.0 25 746.0 25 950.0 24 487.0 26 275.0 28 638.0 26 625.0 28 730.0 30 794.0 31 220.0 45 465.0 42 985.0 47 072.0 47 539.0
Środki pieniężne i inne aktywa pieniężne 1 524.5 1 011.6 271.2 212.6 601.0 616.0 272.0 1 452.0 1 593.0 174.0 737.0 720.0 384.0 332.0 671.0 354.0 119.0 127.0 1 139.0 329.0 252.0 73.0 157.0 204.0 163.0 548.0 1 178.0
Dług netto 112.8 1 994.6 3 484.3 7 905.4 13 654.0 12 848.0 10 775.0 8 835.0 13 093.0 16 947.0 22 803.0 21 598.0 19 862.0 20 201.0 25 075.0 25 596.0 24 368.0 26 148.0 27 499.0 26 296.0 28 478.0 30 721.0 31 063.0 45 261.0 42 822.0 46 524.0 46 361.0
Ticker NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG NGG
Waluta GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP GBP