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) |
15 081.2 |
17 172.731 |
22 326.367 |
19 435.195 |
20 041.326 |
16 000.777 |
18 077.492 |
22 832.138 |
27 853.372 |
31 990.725 |
33 465.0 |
51 719.0 |
55 201.0 |
61 547.0 |
67 100.0 |
66 904.0 |
68 005.0 |
77 956.0 |
71 987.0 |
70 507.0 |
56 312.0 |
42 569.0 |
41 511.0 |
43 135.0 |
47 957.0 |
48 935.0 |
Aktywa trwałe (mln) |
6 475.2 |
9 679.52 |
14 621.477 |
12 249.755 |
9 672.205 |
8 941.028 |
9 523.579 |
13 646.476 |
16 797.989 |
19 097.048 |
19 815.0 |
33 621.0 |
34 662.0 |
37 391.0 |
40 875.0 |
42 210.0 |
41 093.0 |
54 029.0 |
53 490.0 |
54 776.0 |
40 782.0 |
29 650.0 |
28 857.0 |
28 132.0 |
30 239.0 |
18 390.0 |
Rzeczowe aktywa trwałe netto |
3 561.0 |
4 394.514 |
4 827.879 |
4 663.756 |
3 799.711 |
3 761.729 |
4 200.638 |
5 576.041 |
8 007.991 |
9 690.34 |
9 660.0 |
12 071.0 |
12 993.0 |
14 780.0 |
15 096.0 |
15 396.0 |
13 415.0 |
12 821.0 |
11 576.0 |
11 679.0 |
9 270.0 |
6 826.0 |
6 429.0 |
6 607.0 |
8 109.0 |
0.0 |
Wartość firmy |
1 333.7 |
1 575.71 |
0.0 |
0.0 |
3 284 254.0 |
0.0 |
2 922 465.0 |
4 988.558 |
5 142.083 |
5 188.996 |
5 305.0 |
13 952.0 |
14 154.0 |
14 585.0 |
14 706.0 |
15 487.0 |
15 605.0 |
24 990.0 |
25 118.0 |
24 931.0 |
16 042.0 |
12 980.0 |
12 990.0 |
12 982.0 |
14 084.0 |
14 593.0 |
Wartości niematerialne i prawne |
0.0 |
0.0 |
7 072.318 |
4 788.657 |
3 687.573 |
3 135.881 |
3 242.394 |
907.874 |
902.7 |
819.986 |
288.0 |
5 162.0 |
4 882.0 |
4 802.0 |
4 709.0 |
4 654.0 |
4 569.0 |
9 855.0 |
9 354.0 |
8 727.0 |
7 089.0 |
3 455.0 |
3 211.0 |
2 992.0 |
3 239.0 |
3 012.0 |
Wartość firmy i wartości niematerialne i prawne |
1 333.7 |
1 575.71 |
7 072.318 |
4 788.657 |
3 687.573 |
3 135.881 |
3 242.394 |
5 896.432 |
6 044.783 |
6 008.982 |
5 593.0 |
19 065.0 |
19 036.0 |
19 387.0 |
19 415.0 |
20 141.0 |
20 174.0 |
34 845.0 |
34 472.0 |
33 658.0 |
23 131.0 |
16 435.0 |
16 201.0 |
15 974.0 |
17 323.0 |
17 605.0 |
Należności netto |
2 429.8 |
2 768.848 |
4 028.45 |
3 489.406 |
2 568.425 |
2 663.642 |
3 383.803 |
4 242.0 |
5 361.114 |
6 257.861 |
6 088.0 |
8 278.0 |
9 500.0 |
11 351.0 |
11 497.0 |
11 171.0 |
8 780.0 |
9 387.0 |
8 084.0 |
7 881.0 |
7 747.0 |
5 247.0 |
5 315.0 |
7 032.0 |
7 812.0 |
0.0 |
Inwestycje długoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
223 300.0 |
0.0 |
359 750.0 |
153 000.0 |
440 127.0 |
2 339.757 |
738.0 |
484.0 |
256.0 |
245.0 |
363.0 |
442.0 |
418.0 |
238.0 |
1 519.0 |
1 538.0 |
1 565.0 |
2 061.0 |
2 044.0 |
1 581.0 |
3 735.0 |
0.0 |
Aktywa obrotowe |
8 606.0 |
7 493.211 |
7 704.89 |
7 185.44 |
10 369.121 |
7 059.749 |
8 553.913 |
9 185.662 |
11 055.383 |
12 893.677 |
13 650.0 |
18 098.0 |
20 539.0 |
24 156.0 |
26 225.0 |
24 694.0 |
26 912.0 |
23 927.0 |
18 497.0 |
15 731.0 |
15 530.0 |
12 919.0 |
12 654.0 |
15 003.0 |
17 718.0 |
4 669.0 |
Środki pieniężne i Inwestycje |
4 389.8 |
3 040.15 |
1 617.701 |
1 736.016 |
3 108.973 |
2 997.425 |
3 495.681 |
2 998.873 |
3 169.033 |
3 691.67 |
4 616.0 |
4 990.0 |
4 827.0 |
6 274.0 |
8 370.0 |
7 501.0 |
13 034.0 |
9 257.0 |
5 089.0 |
2 777.0 |
2 167.0 |
3 006.0 |
3 139.0 |
2 894.0 |
3 989.0 |
4 669.0 |
Zapasy |
1 268.5 |
1 111.585 |
1 204.263 |
1 043.057 |
796.559 |
819.745 |
1 010.448 |
1 246.887 |
1 638.192 |
1 918.503 |
1 866.0 |
3 804.0 |
4 700.0 |
4 785.0 |
4 603.0 |
4 628.0 |
3 756.0 |
4 225.0 |
4 046.0 |
4 010.0 |
4 130.0 |
3 354.0 |
3 272.0 |
3 999.0 |
4 387.0 |
0.0 |
Inwestycje krótkoterminowe |
0.0 |
0.0 |
1 439.997 |
1 567.906 |
2 874.781 |
2 773.922 |
3 304.727 |
2 833.056 |
2 971.8 |
3 502.742 |
4 373.0 |
3 226.0 |
3 122.0 |
4 369.0 |
4 898.0 |
4 371.0 |
10 241.0 |
6 328.0 |
3 290.0 |
1 344.0 |
1 030.0 |
2 162.0 |
1 382.0 |
1 239.0 |
1 089.0 |
1 125.0 |
Środki pieniężne i inne aktywa pieniężne |
4 389.8 |
3 040.15 |
177.704 |
168.11 |
234.192 |
223.503 |
190.954 |
165.817 |
197.233 |
188.928 |
243.0 |
4 990.0 |
4 827.0 |
1 905.0 |
3 472.0 |
3 130.0 |
2 793.0 |
2 929.0 |
1 799.0 |
1 433.0 |
1 137.0 |
844.0 |
1 757.0 |
1 655.0 |
2 900.0 |
3 544.0 |
Należności krótkoterminowe |
2 282.9 |
2 910.725 |
4 506.634 |
4 580.762 |
3 247.545 |
2 980.79 |
3 564.854 |
3 848.017 |
1 554.0 |
5 268.019 |
5 003.0 |
6 438.0 |
7 579.0 |
8 453.0 |
8 837.0 |
9 246.0 |
7 727.0 |
10 016.0 |
10 036.0 |
10 223.0 |
10 663.0 |
8 442.0 |
8 382.0 |
9 121.0 |
4 613.0 |
4 230.0 |
Dług krótkoterminowy |
257.6 |
592.221 |
1 015.181 |
1 135.533 |
1 808.127 |
715.872 |
796.578 |
1 321.529 |
1 671.635 |
1 597.371 |
1 125.0 |
2 596.0 |
1 377.0 |
2 121.0 |
2 783.0 |
2 765.0 |
4 557.0 |
3 153.0 |
3 324.0 |
1 407.0 |
524.0 |
850.0 |
909.0 |
1 632.0 |
1 123.0 |
1 051.0 |
Zobowiązania krótkoterminowe |
3 474.5 |
3 990.905 |
6 217.785 |
6 450.918 |
6 794.73 |
4 701.2 |
5 514.736 |
6 454.795 |
7 504.851 |
8 124.65 |
7 259.0 |
10 816.0 |
10 538.0 |
12 368.0 |
13 525.0 |
14 176.0 |
14 121.0 |
15 059.0 |
15 282.0 |
13 486.0 |
13 098.0 |
10 491.0 |
10 359.0 |
12 018.0 |
13 395.0 |
12 811.0 |
Rozliczenia międzyokresowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
2 996.729 |
0.0 |
0.0 |
(3 839.0) |
(4 190.0) |
(4 903.0) |
(4 682.0) |
(4 902.0) |
(4 484.0) |
1 088.0 |
752.0 |
877.0 |
910.0 |
941.0 |
1 088.0 |
1 157.0 |
1 996.0 |
2 007.0 |
Zobowiązania długoterminowe |
3 885.7 |
4 886.61 |
7 093.202 |
6 824.612 |
6 966.977 |
4 766.402 |
4 465.989 |
5 957.46 |
5 410.752 |
6 931.783 |
6 977.0 |
9 459.0 |
13 271.0 |
14 321.0 |
13 940.0 |
14 679.0 |
17 979.0 |
21 368.0 |
19 444.0 |
20 435.0 |
19 038.0 |
19 589.0 |
15 866.0 |
13 128.0 |
13 203.0 |
13 774.0 |
Rezerwy z tytułu odroczonego podatku |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
1 636.0 |
1 731.0 |
1 493.0 |
1 708.0 |
1 296.0 |
1 075.0 |
1 880.0 |
1 650.0 |
1 441.0 |
491.0 |
19.0 |
94.0 |
61.0 |
140.0 |
67.0 |
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 |
917.0 |
763.0 |
814.0 |
539.0 |
609.0 |
0.0 |
Zobowiązania ogółem |
7 360.2 |
8 877.515 |
13 310.987 |
13 275.53 |
13 761.707 |
9 467.602 |
9 980.725 |
12 412.255 |
12 915.603 |
15 056.433 |
14 236.0 |
20 275.0 |
23 809.0 |
26 689.0 |
27 465.0 |
28 855.0 |
32 100.0 |
36 427.0 |
34 726.0 |
33 921.0 |
32 136.0 |
30 080.0 |
26 225.0 |
25 146.0 |
26 598.0 |
26 585.0 |
Kapitał własny |
7 721.0 |
8 295.216 |
8 378.481 |
5 606.138 |
5 881.289 |
6 116.737 |
7 591.585 |
10 419.883 |
14 875.888 |
16 862.369 |
19 229.0 |
31 444.0 |
31 392.0 |
34 858.0 |
39 635.0 |
38 049.0 |
35 905.0 |
41 529.0 |
37 261.0 |
37 010.0 |
24 592.0 |
12 907.0 |
15 568.0 |
18 293.0 |
21 359.0 |
16 743.0 |
Udziały mniejszościowe |
0.0 |
0.0 |
636.899 |
553.527 |
398.33 |
416.438 |
505.182 |
0.0 |
61.881 |
71.923 |
109.0 |
218.0 |
129.0 |
107.0 |
166.0 |
199.0 |
272.0 |
451.0 |
419.0 |
424.0 |
416.0 |
418.0 |
282.0 |
304.0 |
1 170.0 |
0.0 |
Pasywa |
15 081.2 |
17 172.731 |
22 326.367 |
19 435.195 |
20 041.326 |
16 000.777 |
18 077.492 |
22 832.138 |
27 853.372 |
31 990.725 |
33 465.0 |
51 719.0 |
55 201.0 |
61 547.0 |
67 100.0 |
66 904.0 |
68 005.0 |
77 956.0 |
71 987.0 |
70 507.0 |
56 312.0 |
42 569.0 |
41 511.0 |
43 135.0 |
47 957.0 |
48 935.0 |
Inwestycje |
0.0 |
0.0 |
1 439.997 |
1 567.906 |
3 098 081.0 |
2 773.922 |
3 664 477.0 |
2 986 056.0 |
3 411 927.0 |
5 842.499 |
7 417.0 |
4 781.0 |
4 644.0 |
6 116.0 |
8 578.0 |
8 048.0 |
13 970.0 |
7 809.0 |
4 809.0 |
2 882.0 |
2 595.0 |
4 223.0 |
3 426.0 |
4 843.0 |
1 089.0 |
1 125.0 |
Dług (mln) |
3 440.8 |
4 165.268 |
7 230.89 |
7 164.082 |
7 905.545 |
4 660.052 |
4 387.916 |
5 985.471 |
5 466.101 |
5 290.888 |
5 480.0 |
8 113.0 |
9 933.0 |
11 630.0 |
13 176.0 |
13 330.0 |
18 999.0 |
19 616.0 |
18 199.0 |
16 051.0 |
15 294.0 |
16 886.0 |
14 195.0 |
12 226.0 |
11 965.0 |
12 074.0 |
Środki pieniężne i inne aktywa pieniężne |
4 389.8 |
3 040.15 |
177.704 |
168.11 |
234.192 |
223.503 |
190.954 |
165.817 |
197.233 |
188.928 |
243.0 |
4 990.0 |
4 827.0 |
1 905.0 |
3 472.0 |
3 130.0 |
2 793.0 |
2 929.0 |
1 799.0 |
1 433.0 |
1 137.0 |
844.0 |
1 757.0 |
1 655.0 |
2 900.0 |
3 544.0 |
Dług netto |
(949.0) |
1 125.118 |
7 053.186 |
6 995.972 |
7 671.353 |
4 436.549 |
4 196.962 |
5 819.654 |
5 268.868 |
5 101.96 |
5 237.0 |
3 123.0 |
5 106.0 |
9 725.0 |
9 704.0 |
10 200.0 |
16 206.0 |
16 687.0 |
16 400.0 |
14 618.0 |
14 157.0 |
16 042.0 |
12 438.0 |
10 571.0 |
9 065.0 |
8 530.0 |
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