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 |
2023 |
2024 |
2024 |
2024 |
2024 |
2025 |
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 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Aktywa |
10 013.0 |
8 712.0 |
9 836.0 |
8 686.0 |
9 159.0 |
8 381.0 |
9 128.0 |
8 278.0 |
9 069.0 |
8 326.0 |
9 891.0 |
9 761.0 |
10 872.0 |
10 068.0 |
11 278.0 |
10 413.0 |
11 790.0 |
11 389.0 |
12 433.0 |
11 622.0 |
11 868.0 |
11 930.0 |
12 162.0 |
13 766.0 |
15 306.0 |
14 978.0 |
16 332.0 |
14 870.0 |
16 413.0 |
16 222.0 |
17 276.0 |
18 278.0 |
20 987.0 |
21 204.0 |
21 204.0 |
21 901.0 |
22 562.0 |
24 453.0 |
24 973.0 |
24 906.0 |
25 516.0 |
24 743.0 |
24 923.0 |
Aktywa trwałe |
5 058.0 |
3 723.0 |
4 868.0 |
3 613.0 |
4 570.0 |
3 581.0 |
4 525.0 |
3 553.0 |
4 682.0 |
3 852.0 |
5 185.0 |
4 358.0 |
5 773.0 |
4 908.0 |
6 077.0 |
4 905.0 |
5 931.0 |
5 369.0 |
6 430.0 |
5 496.0 |
5 611.0 |
5 654.0 |
5 959.0 |
6 371.0 |
7 637.0 |
7 008.0 |
7 900.0 |
7 255.0 |
8 579.0 |
8 239.0 |
8 819.0 |
8 964.0 |
11 169.0 |
10 840.0 |
10 840.0 |
11 094.0 |
11 571.0 |
12 646.0 |
13 079.0 |
13 037.0 |
13 553.0 |
13 009.0 |
13 515.0 |
Rzeczowe aktywa trwałe netto |
2 652.0 |
2 468.0 |
2 523.0 |
2 432.0 |
2 326.0 |
2 333.0 |
2 295.0 |
2 289.0 |
2 292.0 |
2 489.0 |
2 736.0 |
2 882.0 |
3 224.0 |
3 371.0 |
3 594.0 |
3 414.0 |
3 715.0 |
3 740.0 |
4 151.0 |
3 897.0 |
4 007.0 |
4 022.0 |
4 194.0 |
4 312.0 |
4 778.0 |
4 743.0 |
5 186.0 |
5 172.0 |
5 778.0 |
6 151.0 |
6 793.0 |
7 093.0 |
8 272.0 |
8 847.0 |
8 847.0 |
9 303.0 |
9 672.0 |
10 554.0 |
10 866.0 |
10 869.0 |
11 258.0 |
10 877.0 |
11 178.0 |
Wartość firmy |
64.0 |
76.0 |
60.0 |
77.0 |
58.0 |
79.0 |
59.0 |
119.0 |
98.0 |
117.0 |
102.0 |
122.0 |
105.0 |
125.0 |
104.0 |
121.0 |
103.0 |
163.0 |
145.0 |
161.0 |
162.0 |
175.0 |
197.0 |
321.0 |
312.0 |
320.0 |
304.0 |
318.0 |
295.0 |
307.0 |
294.0 |
282.0 |
279.0 |
300.0 |
300.0 |
297.0 |
294.0 |
303.0 |
298.0 |
296.0 |
303.0 |
290.0 |
299.0 |
Wartości niematerialne i prawne |
1 060.0 |
184.0 |
1 064.0 |
162.0 |
1 021.0 |
162.0 |
1 034.0 |
199.0 |
1 111.0 |
188.0 |
1 147.0 |
193.0 |
1 192.0 |
205.0 |
1 196.0 |
198.0 |
1 220.0 |
291.0 |
1 263.0 |
291.0 |
299.0 |
298.0 |
312.0 |
422.0 |
1 294.0 |
434.0 |
1 352.0 |
447.0 |
1 407.0 |
462.0 |
452.0 |
438.0 |
1 465.0 |
403.0 |
403.0 |
356.0 |
353.0 |
367.0 |
366.0 |
353.0 |
354.0 |
346.0 |
338.0 |
Wartość firmy i wartości niematerialne i prawne |
1 124.0 |
260.0 |
1 124.0 |
239.0 |
1 079.0 |
241.0 |
1 093.0 |
318.0 |
1 209.0 |
305.0 |
1 249.0 |
315.0 |
1 297.0 |
330.0 |
1 300.0 |
319.0 |
1 323.0 |
454.0 |
1 408.0 |
452.0 |
461.0 |
473.0 |
509.0 |
743.0 |
1 606.0 |
754.0 |
1 656.0 |
765.0 |
1 702.0 |
769.0 |
746.0 |
720.0 |
1 744.0 |
703.0 |
703.0 |
653.0 |
647.0 |
670.0 |
664.0 |
649.0 |
657.0 |
636.0 |
637.0 |
Należności netto |
911.0 |
971.0 |
1 439.0 |
989.0 |
820.0 |
891.0 |
886.0 |
1 009.0 |
1 128.0 |
946.0 |
1 012.0 |
1 057.0 |
1 149.0 |
1 042.0 |
1 106.0 |
1 309.0 |
1 476.0 |
1 102.0 |
1 593.0 |
1 388.0 |
1 684.0 |
1 294.0 |
1 171.0 |
1 433.0 |
1 465.0 |
1 418.0 |
1 571.0 |
1 611.0 |
1 759.0 |
1 809.0 |
2 074.0 |
2 227.0 |
1 970.0 |
2 542.0 |
2 013.0 |
2 877.0 |
2 721.0 |
2 660.0 |
2 674.0 |
2 455.0 |
1 730.0 |
2 437.0 |
1 385.0 |
Inwestycje długoterminowe |
78.0 |
77.0 |
81.0 |
75.0 |
77.0 |
76.0 |
76.0 |
76.0 |
86.0 |
77.0 |
86.0 |
467.0 |
89.0 |
77.0 |
95.0 |
80.0 |
92.0 |
82.0 |
110.0 |
84.0 |
11.0 |
30.0 |
33.0 |
33.0 |
68.0 |
36.0 |
61.0 |
38.0 |
65.0 |
36.0 |
34.0 |
34.0 |
69.0 |
38.0 |
38.0 |
21.0 |
21.0 |
53.0 |
22.0 |
54.0 |
20.0 |
108.0 |
96.0 |
Aktywa obrotowe |
4 955.0 |
4 989.0 |
4 968.0 |
5 073.0 |
4 589.0 |
4 800.0 |
4 603.0 |
4 725.0 |
4 387.0 |
4 474.0 |
4 706.0 |
5 403.0 |
5 099.0 |
5 160.0 |
5 201.0 |
5 508.0 |
5 859.0 |
6 019.0 |
6 003.0 |
6 126.0 |
6 257.0 |
6 276.0 |
6 203.0 |
7 395.0 |
7 669.0 |
7 970.0 |
8 432.0 |
7 615.0 |
7 834.0 |
7 983.0 |
8 457.0 |
9 314.0 |
9 818.0 |
10 364.0 |
10 364.0 |
10 807.0 |
10 991.0 |
11 807.0 |
11 894.0 |
11 869.0 |
11 963.0 |
11 734.0 |
11 408.0 |
Środki pieniężne i Inwestycje |
2 352.0 |
2 287.0 |
2 254.0 |
2 207.0 |
2 115.0 |
2 040.0 |
2 039.0 |
2 017.0 |
1 966.0 |
1 976.0 |
2 039.0 |
2 621.0 |
2 231.0 |
2 234.0 |
2 129.0 |
2 171.0 |
2 601.0 |
2 638.0 |
2 457.0 |
2 478.0 |
2 734.0 |
2 700.0 |
2 621.0 |
3 527.0 |
3 846.0 |
4 159.0 |
4 251.0 |
3 462.0 |
3 522.0 |
3 394.0 |
3 443.0 |
4 088.0 |
4 587.0 |
4 519.0 |
4 519.0 |
4 563.0 |
5 054.0 |
6 083.0 |
6 239.0 |
6 285.0 |
6 296.0 |
6 184.0 |
5 959.0 |
Zapasy |
1 269.0 |
1 193.0 |
1 242.0 |
1 253.0 |
1 251.0 |
1 302.0 |
1 266.0 |
1 238.0 |
1 173.0 |
1 201.0 |
1 262.0 |
1 321.0 |
1 335.0 |
1 435.0 |
1 563.0 |
1 586.0 |
1 567.0 |
1 765.0 |
1 893.0 |
1 785.0 |
1 691.0 |
1 772.0 |
1 963.0 |
1 931.0 |
1 838.0 |
1 843.0 |
1 967.0 |
1 969.0 |
1 978.0 |
2 147.0 |
2 307.0 |
2 381.0 |
2 583.0 |
2 870.0 |
2 870.0 |
3 045.0 |
2 870.0 |
2 698.0 |
2 685.0 |
2 810.0 |
2 875.0 |
2 794.0 |
3 014.0 |
Inwestycje krótkoterminowe |
335.0 |
338.0 |
367.0 |
338.0 |
344.0 |
343.0 |
357.0 |
342.0 |
337.0 |
335.0 |
385.0 |
433.0 |
472.0 |
443.0 |
446.0 |
336.0 |
335.0 |
331.0 |
338.0 |
133.0 |
137.0 |
672.0 |
821.0 |
813.0 |
840.0 |
705.0 |
502.0 |
350.0 |
297.0 |
566.0 |
415.0 |
1 276.0 |
1 329.0 |
947.0 |
947.0 |
1 452.0 |
2 043.0 |
2 861.0 |
3 106.0 |
3 193.0 |
3 219.0 |
3 902.0 |
4 178.0 |
Środki pieniężne i inne aktywa pieniężne |
2 017.0 |
1 949.0 |
1 887.0 |
1 869.0 |
1 771.0 |
1 697.0 |
1 682.0 |
1 675.0 |
1 629.0 |
1 641.0 |
1 654.0 |
2 188.0 |
1 759.0 |
1 791.0 |
1 683.0 |
1 835.0 |
2 266.0 |
2 307.0 |
2 119.0 |
2 345.0 |
2 597.0 |
2 028.0 |
1 800.0 |
2 714.0 |
3 006.0 |
3 454.0 |
3 749.0 |
3 112.0 |
3 225.0 |
2 828.0 |
3 028.0 |
2 812.0 |
3 258.0 |
3 572.0 |
3 572.0 |
3 111.0 |
3 011.0 |
3 222.0 |
3 133.0 |
3 092.0 |
3 077.0 |
2 282.0 |
1 781.0 |
Należności krótkoterminowe |
597.0 |
706.0 |
785.0 |
701.0 |
525.0 |
666.0 |
597.0 |
674.0 |
620.0 |
757.0 |
837.0 |
847.0 |
893.0 |
979.0 |
991.0 |
976.0 |
981.0 |
895.0 |
895.0 |
915.0 |
950.0 |
960.0 |
1 079.0 |
1 091.0 |
1 166.0 |
1 281.0 |
1 366.0 |
1 352.0 |
1 582.0 |
1 608.0 |
1 998.0 |
1 867.0 |
2 122.0 |
2 095.0 |
2 095.0 |
1 990.0 |
1 555.0 |
1 856.0 |
1 642.0 |
1 577.0 |
1 585.0 |
1 323.0 |
1 373.0 |
Dług krótkoterminowy |
194.0 |
200.0 |
201.0 |
191.0 |
192.0 |
173.0 |
171.0 |
117.0 |
120.0 |
117.0 |
717.0 |
486.0 |
128.0 |
119.0 |
118.0 |
117.0 |
153.0 |
173.0 |
174.0 |
171.0 |
228.0 |
171.0 |
879.0 |
983.0 |
849.0 |
837.0 |
938.0 |
205.0 |
198.0 |
140.0 |
134.0 |
155.0 |
227.0 |
229.0 |
170.0 |
233.0 |
227.0 |
275.0 |
292.0 |
293.0 |
1 003.0 |
1 044.0 |
988.0 |
Zobowiązania krótkoterminowe |
1 758.0 |
1 818.0 |
2 081.0 |
1 874.0 |
1 561.0 |
1 597.0 |
1 620.0 |
1 676.0 |
1 591.0 |
1 704.0 |
2 674.0 |
2 359.0 |
2 030.0 |
2 085.0 |
2 221.0 |
2 169.0 |
2 127.0 |
2 068.0 |
2 186.0 |
2 132.0 |
2 064.0 |
2 056.0 |
2 975.0 |
3 126.0 |
3 754.0 |
3 200.0 |
4 173.0 |
2 851.0 |
2 965.0 |
3 074.0 |
3 712.0 |
3 836.0 |
4 666.0 |
4 014.0 |
4 014.0 |
4 041.0 |
3 737.0 |
3 730.0 |
3 566.0 |
3 545.0 |
4 208.0 |
3 773.0 |
3 739.0 |
Rozliczenia międzyokresowe |
33.0 |
38.0 |
1 042.0 |
52.0 |
44.0 |
52.0 |
843.0 |
45.0 |
39.0 |
47.0 |
1 007.0 |
47.0 |
89.0 |
41.0 |
1 063.0 |
53.0 |
77.0 |
44.0 |
1 042.0 |
77.0 |
63.0 |
63.0 |
69.0 |
105.0 |
1 060.0 |
75.0 |
1 181.0 |
147.0 |
1 115.0 |
0.0 |
(37.0) |
0.0 |
225.0 |
290.0 |
0.0 |
263.0 |
313.0 |
230.0 |
248.0 |
219.0 |
0.0 |
89.0 |
0.0 |
Zobowiązania długoterminowe |
2 548.0 |
2 133.0 |
2 484.0 |
2 079.0 |
2 202.0 |
1 967.0 |
2 226.0 |
1 957.0 |
2 212.0 |
1 850.0 |
1 735.0 |
2 253.0 |
3 020.0 |
2 214.0 |
3 068.0 |
2 192.0 |
2 536.0 |
2 708.0 |
3 167.0 |
2 738.0 |
2 693.0 |
2 664.0 |
1 996.0 |
2 896.0 |
3 244.0 |
3 162.0 |
3 600.0 |
3 449.0 |
3 867.0 |
3 321.0 |
3 342.0 |
3 464.0 |
2 817.0 |
3 325.0 |
3 325.0 |
3 287.0 |
3 318.0 |
3 871.0 |
4 208.0 |
4 213.0 |
3 504.0 |
3 291.0 |
3 225.0 |
Rezerwy z tytułu odroczonego podatku |
12.0 |
10.0 |
12.0 |
10.0 |
15.0 |
11.0 |
15.0 |
8.0 |
10.0 |
5.0 |
7.0 |
6.0 |
12.0 |
12.0 |
13.0 |
13.0 |
15.0 |
14.0 |
25.0 |
18.0 |
19.0 |
36.0 |
38.0 |
80.0 |
63.0 |
74.0 |
47.0 |
61.0 |
48.0 |
47.0 |
46.0 |
0.0 |
139.0 |
55.0 |
0.0 |
56.0 |
55.0 |
54.0 |
49.0 |
0.0 |
60.0 |
47.0 |
48.0 |
Zobowiązania długoterminowe |
2 548.0 |
2 133.0 |
2 484.0 |
2 079.0 |
2 202.0 |
1 967.0 |
2 226.0 |
1 957.0 |
2 212.0 |
1 850.0 |
1 735.0 |
2 253.0 |
3 020.0 |
2 214.0 |
3 068.0 |
2 192.0 |
2 536.0 |
2 708.0 |
3 167.0 |
2 738.0 |
2 693.0 |
2 664.0 |
1 996.0 |
2 896.0 |
3 244.0 |
3 162.0 |
3 600.0 |
3 449.0 |
3 867.0 |
3 321.0 |
3 342.0 |
3 464.0 |
2 817.0 |
3 325.0 |
3 325.0 |
3 287.0 |
3 318.0 |
3 871.0 |
4 208.0 |
4 213.0 |
3 504.0 |
3 291.0 |
3 225.0 |
Zobowiązania z tytułu leasingu |
(8.0) |
0.0 |
0.0 |
0.0 |
1.0 |
0.0 |
0.0 |
0.0 |
3.0 |
0.0 |
0.0 |
0.0 |
10.0 |
0.0 |
0.0 |
0.0 |
1.0 |
0.0 |
0.0 |
0.0 |
207.0 |
0.0 |
0.0 |
0.0 |
196.0 |
133.0 |
142.0 |
139.0 |
203.0 |
137.0 |
126.0 |
127.0 |
193.0 |
207.0 |
0.0 |
213.0 |
210.0 |
246.0 |
233.0 |
237.0 |
0.0 |
214.0 |
0.0 |
Zobowiązania ogółem |
4 306.0 |
3 951.0 |
4 565.0 |
3 953.0 |
3 763.0 |
3 564.0 |
3 846.0 |
3 633.0 |
3 803.0 |
3 554.0 |
4 409.0 |
4 612.0 |
5 050.0 |
4 299.0 |
5 289.0 |
4 361.0 |
4 663.0 |
4 776.0 |
5 353.0 |
4 870.0 |
4 757.0 |
4 720.0 |
4 971.0 |
6 022.0 |
6 998.0 |
6 362.0 |
7 773.0 |
6 300.0 |
6 832.0 |
6 395.0 |
7 054.0 |
7 300.0 |
7 483.0 |
7 339.0 |
7 339.0 |
7 328.0 |
7 055.0 |
7 601.0 |
7 774.0 |
7 758.0 |
7 712.0 |
7 064.0 |
6 964.0 |
Kapitał (fundusz) podstawowy |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
1 157.0 |
Zyski zatrzymane |
817.0 |
795.0 |
922.0 |
523.0 |
525.0 |
483.0 |
249.0 |
320.0 |
926.0 |
538.0 |
435.0 |
667.0 |
973.0 |
1 212.0 |
1 467.0 |
1 574.0 |
2 640.0 |
2 169.0 |
2 556.0 |
2 355.0 |
2 747.0 |
2 938.0 |
2 797.0 |
3 019.0 |
3 191.0 |
3 963.0 |
3 640.0 |
4 476.0 |
4 539.0 |
5 995.0 |
6 421.0 |
7 470.0 |
8 367.0 |
9 754.0 |
9 754.0 |
10 340.0 |
11 395.0 |
12 470.0 |
12 982.0 |
12 813.0 |
13 118.0 |
13 459.0 |
13 514.0 |
Kapitał własny |
5 707.0 |
4 761.0 |
5 271.0 |
4 733.0 |
5 396.0 |
4 817.0 |
5 282.0 |
4 645.0 |
5 266.0 |
4 772.0 |
5 482.0 |
5 149.0 |
5 822.0 |
5 769.0 |
5 989.0 |
6 052.0 |
7 127.0 |
6 613.0 |
7 080.0 |
6 752.0 |
7 111.0 |
7 210.0 |
7 191.0 |
7 744.0 |
8 308.0 |
8 616.0 |
8 559.0 |
8 570.0 |
9 581.0 |
9 827.0 |
10 222.0 |
10 978.0 |
13 504.0 |
13 865.0 |
13 865.0 |
14 573.0 |
15 507.0 |
16 852.0 |
17 199.0 |
17 148.0 |
17 804.0 |
17 679.0 |
17 959.0 |
Udziały mniejszościowe |
61.0 |
62.0 |
63.0 |
66.0 |
61.0 |
63.0 |
64.0 |
65.0 |
61.0 |
62.0 |
65.0 |
67.0 |
63.0 |
65.0 |
67.0 |
68.0 |
65.0 |
134.0 |
134.0 |
134.0 |
68.0 |
66.0 |
67.0 |
68.0 |
58.0 |
59.0 |
61.0 |
62.0 |
64.0 |
63.0 |
65.0 |
61.0 |
64.0 |
67.0 |
67.0 |
69.0 |
72.0 |
123.0 |
124.0 |
126.0 |
240.0 |
230.0 |
233.0 |
Pasywa |
10 013.0 |
8 712.0 |
9 836.0 |
8 686.0 |
9 159.0 |
8 381.0 |
9 128.0 |
8 278.0 |
9 069.0 |
8 326.0 |
9 891.0 |
9 761.0 |
10 872.0 |
10 068.0 |
11 278.0 |
10 413.0 |
11 790.0 |
11 389.0 |
12 433.0 |
11 622.0 |
11 868.0 |
11 930.0 |
12 162.0 |
13 766.0 |
15 306.0 |
14 978.0 |
16 332.0 |
14 870.0 |
16 413.0 |
16 222.0 |
17 276.0 |
18 278.0 |
20 987.0 |
21 204.0 |
21 204.0 |
21 901.0 |
22 562.0 |
24 453.0 |
24 973.0 |
24 906.0 |
25 516.0 |
24 743.0 |
24 923.0 |
Inwestycje |
422.0 |
415.0 |
448.0 |
413.0 |
411.0 |
419.0 |
433.0 |
418.0 |
411.0 |
412.0 |
471.0 |
900.0 |
508.0 |
520.0 |
541.0 |
416.0 |
410.0 |
413.0 |
448.0 |
217.0 |
171.0 |
702.0 |
854.0 |
846.0 |
749.0 |
741.0 |
563.0 |
388.0 |
301.0 |
576.0 |
449.0 |
1 310.0 |
1 271.0 |
985.0 |
985.0 |
1 473.0 |
2 064.0 |
2 914.0 |
3 128.0 |
3 247.0 |
3 239.0 |
4 010.0 |
4 274.0 |
Dług |
1 804.0 |
1 775.0 |
1 785.0 |
1 748.0 |
1 615.0 |
1 601.0 |
1 603.0 |
1 553.0 |
1 454.0 |
1 458.0 |
1 497.0 |
2 175.0 |
1 695.0 |
1 712.0 |
1 710.0 |
1 724.0 |
1 904.0 |
2 188.0 |
2 199.0 |
2 190.0 |
2 072.0 |
2 042.0 |
2 051.0 |
2 865.0 |
2 617.0 |
3 107.0 |
3 229.0 |
2 803.0 |
2 534.0 |
2 691.0 |
2 645.0 |
2 758.0 |
2 572.0 |
2 871.0 |
2 812.0 |
2 649.0 |
2 591.0 |
3 173.0 |
3 113.0 |
3 323.0 |
3 115.0 |
3 167.0 |
2 877.0 |
Środki pieniężne i inne aktywa pieniężne |
2 017.0 |
1 949.0 |
1 887.0 |
1 869.0 |
1 771.0 |
1 697.0 |
1 682.0 |
1 675.0 |
1 629.0 |
1 641.0 |
1 654.0 |
2 188.0 |
1 759.0 |
1 791.0 |
1 683.0 |
1 835.0 |
2 266.0 |
2 307.0 |
2 119.0 |
2 345.0 |
2 597.0 |
2 028.0 |
1 800.0 |
2 714.0 |
3 006.0 |
3 454.0 |
3 749.0 |
3 112.0 |
3 225.0 |
2 828.0 |
3 028.0 |
2 812.0 |
3 258.0 |
3 572.0 |
3 572.0 |
3 111.0 |
3 011.0 |
3 222.0 |
3 133.0 |
3 092.0 |
3 077.0 |
2 282.0 |
1 781.0 |
Dług netto |
(213.0) |
(174.0) |
(102.0) |
(121.0) |
(156.0) |
(96.0) |
(79.0) |
(122.0) |
(175.0) |
(183.0) |
(157.0) |
(13.0) |
(64.0) |
(79.0) |
27.0 |
(111.0) |
(362.0) |
(119.0) |
80.0 |
(155.0) |
(525.0) |
14.0 |
251.0 |
151.0 |
(389.0) |
(347.0) |
(520.0) |
(309.0) |
(691.0) |
(137.0) |
(383.0) |
(54.0) |
(686.0) |
(701.0) |
(760.0) |
(462.0) |
(420.0) |
(49.0) |
(20.0) |
231.0 |
38.0 |
885.0 |
1 096.0 |
Ticker |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
SGM.DE |
Waluta |
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