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 |
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 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Aktywa |
351 209.0 |
375 827.0 |
374 019.0 |
371 411.0 |
381 935.0 |
396 927.0 |
401 429.0 |
403 890.0 |
409 732.0 |
425 556.0 |
416 247.0 |
417 485.0 |
422 193.0 |
432 069.0 |
441 116.0 |
443 857.0 |
458 156.0 |
471 222.0 |
479 981.0 |
489 715.0 |
488 071.0 |
491 151.0 |
500 253.0 |
501 229.0 |
497 114.0 |
511 305.0 |
517 119.0 |
516 744.0 |
528 609.0 |
543 528.0 |
546 858.0 |
574 026.0 |
564 772.0 |
568 842.0 |
581 294.0 |
594 577.0 |
630 826.0 |
622 207.0 |
630 386.0 |
631 429.0 |
632 905.0 |
639 370.0 |
Aktywa trwałe |
220 106.0 |
232 980.0 |
230 444.0 |
226 652.0 |
236 548.0 |
235 381.0 |
238 320.0 |
242 673.0 |
254 010.0 |
253 949.0 |
250 850.0 |
253 881.0 |
262 081.0 |
263 645.0 |
264 844.0 |
269 254.0 |
274 620.0 |
284 896.0 |
288 358.0 |
293 833.0 |
300 608.0 |
297 752.0 |
295 324.0 |
295 035.0 |
302 170.0 |
307 816.0 |
309 535.0 |
321 024.0 |
328 261.0 |
331 561.0 |
336 809.0 |
341 664.0 |
340 464.0 |
340 395.0 |
343 896.0 |
349 509.0 |
383 315.0 |
366 114.0 |
369 867.0 |
373 218.0 |
387 674.0 |
390 224.0 |
Rzeczowe aktywa trwałe netto |
73 755.0 |
77 274.0 |
78 205.0 |
78 268.0 |
83 344.0 |
83 527.0 |
85 574.0 |
87 399.0 |
92 473.0 |
92 009.0 |
90 658.0 |
90 995.0 |
94 496.0 |
93 928.0 |
96 033.0 |
97 954.0 |
101 177.0 |
107 593.0 |
108 741.0 |
111 050.0 |
115 091.0 |
114 417.0 |
112 504.0 |
112 129.0 |
114 569.0 |
116 836.0 |
118 804.0 |
120 918.0 |
123 394.0 |
122 540.0 |
123 506.0 |
123 888.0 |
123 271.0 |
122 797.0 |
124 255.0 |
127 791.0 |
130 974.0 |
132 933.0 |
135 213.0 |
137 414.0 |
144 644.0 |
145 708.0 |
Wartość firmy |
23 577.0 |
240.0 |
236.0 |
230.0 |
23 646.0 |
223.0 |
220.0 |
216.0 |
23 559.0 |
219.0 |
208.0 |
201.0 |
23 443.0 |
201.0 |
200.0 |
203.0 |
23 317.0 |
207.0 |
201.0 |
197.0 |
23 247.0 |
188.0 |
179.0 |
171.0 |
23 318.0 |
0.0 |
172.0 |
390.0 |
26 174.0 |
397.0 |
407.0 |
0.0 |
26 202.0 |
0.0 |
0.0 |
0.0 |
26 292.0 |
598.0 |
566.0 |
0.0 |
26 376.0 |
0.0 |
Wartości niematerialne i prawne |
36 358.0 |
60 045.0 |
60 127.0 |
59 895.0 |
37 501.0 |
61 102.0 |
61 263.0 |
61 871.0 |
39 040.0 |
62 713.0 |
63 021.0 |
63 370.0 |
39 976.0 |
63 202.0 |
63 393.0 |
63 398.0 |
41 296.0 |
64 578.0 |
64 746.0 |
64 941.0 |
42 967.0 |
65 831.0 |
66 240.0 |
66 389.0 |
44 650.0 |
68 553.0 |
68 989.0 |
75 428.0 |
51 515.0 |
78 813.0 |
80 209.0 |
82 171.0 |
57 039.0 |
84 170.0 |
85 093.0 |
86 824.0 |
62 817.0 |
89 878.0 |
90 623.0 |
91 027.0 |
66 957.0 |
0.0 |
Wartość firmy i wartości niematerialne i prawne |
59 935.0 |
60 285.0 |
60 363.0 |
60 125.0 |
61 147.0 |
61 325.0 |
61 483.0 |
62 087.0 |
62 599.0 |
62 932.0 |
63 229.0 |
63 571.0 |
63 419.0 |
63 403.0 |
63 593.0 |
63 601.0 |
64 613.0 |
64 785.0 |
64 947.0 |
65 138.0 |
66 214.0 |
66 019.0 |
66 419.0 |
66 560.0 |
67 968.0 |
68 553.0 |
69 161.0 |
75 818.0 |
77 689.0 |
79 210.0 |
80 616.0 |
82 171.0 |
83 241.0 |
84 170.0 |
85 093.0 |
86 824.0 |
89 109.0 |
90 476.0 |
91 189.0 |
91 027.0 |
93 333.0 |
94 059.0 |
Należności netto |
11 472.0 |
0.0 |
0.0 |
0.0 |
11 132.0 |
0.0 |
0.0 |
60 013.0 |
12 187.0 |
63 792.0 |
63 843.0 |
64 507.0 |
13 357.0 |
68 591.0 |
70 746.0 |
67 508.0 |
17 720.0 |
76 570.0 |
76 620.0 |
0.0 |
17 941.0 |
73 873.0 |
72 721.0 |
74 093.0 |
15 955.0 |
77 462.0 |
76 243.0 |
0.0 |
15 521.0 |
74 796.0 |
77 300.0 |
77 960.0 |
18 534.0 |
82 520.0 |
84 711.0 |
86 398.0 |
21 849.0 |
89 358.0 |
90 733.0 |
88 651.0 |
0.0 |
123 644.0 |
Inwestycje długoterminowe |
2 369.0 |
19 725.0 |
14 959.0 |
12 014.0 |
(4 491.0) |
12 116.0 |
10 880.0 |
10 471.0 |
(9 439.0) |
13 491.0 |
10 738.0 |
12 109.0 |
(8 370.0) |
15 483.0 |
12 289.0 |
13 273.0 |
(10 049.0) |
13 895.0 |
12 139.0 |
16 011.0 |
(10 007.0) |
14 593.0 |
15 082.0 |
15 549.0 |
(11 921.0) |
16 554.0 |
15 112.0 |
17 349.0 |
(10 538.0) |
22 535.0 |
23 133.0 |
25 811.0 |
(24 424.0) |
133 428.0 |
134 549.0 |
134 894.0 |
124 995.0 |
(4 350.0) |
143 465.0 |
144 777.0 |
(15 639.0) |
0.0 |
Aktywa obrotowe |
131 102.0 |
142 848.0 |
143 575.0 |
144 759.0 |
145 387.0 |
161 546.0 |
163 109.0 |
161 217.0 |
155 722.0 |
171 607.0 |
165 397.0 |
163 604.0 |
160 112.0 |
168 423.0 |
176 272.0 |
174 603.0 |
183 536.0 |
186 326.0 |
191 623.0 |
195 882.0 |
187 463.0 |
193 399.0 |
204 929.0 |
206 194.0 |
194 944.0 |
203 489.0 |
207 585.0 |
195 720.0 |
200 347.0 |
211 967.0 |
210 050.0 |
232 362.0 |
224 309.0 |
228 446.0 |
237 397.0 |
245 069.0 |
239 644.0 |
256 093.0 |
260 519.0 |
258 211.0 |
245 231.0 |
249 146.0 |
Środki pieniężne i Inwestycje |
32 593.0 |
32 972.0 |
32 693.0 |
37 628.0 |
39 556.0 |
48 645.0 |
44 943.0 |
43 860.0 |
40 959.0 |
43 788.0 |
38 517.0 |
37 643.0 |
38 182.0 |
38 127.0 |
38 330.0 |
41 916.0 |
50 044.0 |
39 278.0 |
42 696.0 |
48 083.0 |
46 647.0 |
46 917.0 |
62 876.0 |
66 220.0 |
58 608.0 |
58 083.0 |
62 840.0 |
58 684.0 |
66 879.0 |
67 237.0 |
57 677.0 |
56 392.0 |
70 786.0 |
62 193.0 |
63 021.0 |
71 540.0 |
74 913.0 |
78 368.0 |
77 833.0 |
78 996.0 |
73 446.0 |
64 671.0 |
Zapasy |
31 328.0 |
34 857.0 |
35 119.0 |
34 139.0 |
34 892.0 |
35 707.0 |
37 512.0 |
37 749.0 |
38 799.0 |
42 090.0 |
42 667.0 |
42 624.0 |
40 289.0 |
41 979.0 |
45 650.0 |
45 393.0 |
45 577.0 |
49 287.0 |
49 610.0 |
49 652.0 |
46 519.0 |
48 644.0 |
45 683.0 |
43 264.0 |
43 535.0 |
45 735.0 |
44 662.0 |
43 552.0 |
43 380.0 |
45 764.0 |
48 919.0 |
51 277.0 |
51 109.0 |
55 293.0 |
59 311.0 |
56 936.0 |
51 953.0 |
57 401.0 |
61 102.0 |
58 042.0 |
53 132.0 |
57 313.0 |
Inwestycje krótkoterminowe |
13 469.0 |
14 824.0 |
15 095.0 |
14 647.0 |
18 684.0 |
14 866.0 |
15 252.0 |
16 850.0 |
21 695.0 |
16 084.0 |
16 229.0 |
16 248.0 |
19 725.0 |
16 177.0 |
16 610.0 |
16 741.0 |
21 106.0 |
17 022.0 |
19 690.0 |
17 686.0 |
20 724.0 |
18 468.0 |
19 472.0 |
20 672.0 |
24 698.0 |
21 643.0 |
22 028.0 |
22 076.0 |
27 155.0 |
22 390.0 |
23 756.0 |
23 496.0 |
41 614.0 |
25 946.0 |
25 892.0 |
25 878.0 |
31 464.0 |
27 183.0 |
27 442.0 |
27 604.0 |
33 150.0 |
27 915.0 |
Środki pieniężne i inne aktywa pieniężne |
19 124.0 |
18 148.0 |
17 598.0 |
22 981.0 |
20 872.0 |
33 779.0 |
29 691.0 |
27 010.0 |
19 264.0 |
27 704.0 |
22 288.0 |
21 395.0 |
18 457.0 |
21 950.0 |
21 720.0 |
25 175.0 |
28 938.0 |
22 256.0 |
23 006.0 |
30 397.0 |
25 923.0 |
28 449.0 |
43 404.0 |
45 548.0 |
33 910.0 |
36 440.0 |
40 812.0 |
36 608.0 |
39 724.0 |
44 847.0 |
33 921.0 |
32 896.0 |
29 172.0 |
36 247.0 |
37 129.0 |
45 662.0 |
43 449.0 |
51 185.0 |
50 391.0 |
51 392.0 |
40 296.0 |
36 756.0 |
Należności krótkoterminowe |
17 838.0 |
18 723.0 |
18 338.0 |
17 523.0 |
18 709.0 |
20 816.0 |
19 559.0 |
19 780.0 |
20 753.0 |
20 768.0 |
20 207.0 |
20 663.0 |
20 498.0 |
21 452.0 |
21 816.0 |
20 717.0 |
20 962.0 |
20 899.0 |
21 873.0 |
21 607.0 |
19 603.0 |
19 382.0 |
17 813.0 |
20 253.0 |
19 540.0 |
21 226.0 |
20 644.0 |
19 299.0 |
20 977.0 |
21 407.0 |
25 119.0 |
26 544.0 |
26 107.0 |
27 216.0 |
28 464.0 |
26 516.0 |
23 901.0 |
32 014.0 |
28 003.0 |
32 402.0 |
29 772.0 |
33 689.0 |
Dług krótkoterminowy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
51 920.0 |
2 316.0 |
82 747.0 |
0.0 |
87 171.0 |
86 016.0 |
80 392.0 |
0.0 |
86 715.0 |
85 448.0 |
85 820.0 |
0.0 |
0.0 |
85 514.0 |
83 408.0 |
0.0 |
2 946.0 |
107 232.0 |
100 121.0 |
0.0 |
81 188.0 |
85 854.0 |
81 047.0 |
0.0 |
81 451.0 |
78 640.0 |
76 431.0 |
0.0 |
87 948.0 |
99 032.0 |
104 147.0 |
0.0 |
119 937.0 |
129 168.0 |
68 270.0 |
63 387.0 |
63 887.0 |
Zobowiązania krótkoterminowe |
130 706.0 |
141 899.0 |
140 024.0 |
142 259.0 |
148 489.0 |
159 550.0 |
160 826.0 |
161 444.0 |
177 515.0 |
178 527.0 |
168 597.0 |
163 971.0 |
160 389.0 |
170 994.0 |
171 573.0 |
167 696.0 |
167 968.0 |
167 486.0 |
166 939.0 |
165 976.0 |
167 924.0 |
183 053.0 |
183 710.0 |
182 204.0 |
165 410.0 |
169 766.0 |
173 008.0 |
166 107.0 |
164 393.0 |
172 322.0 |
173 339.0 |
175 381.0 |
182 992.0 |
186 037.0 |
198 059.0 |
201 358.0 |
206 591.0 |
220 342.0 |
228 924.0 |
224 444.0 |
217 039.0 |
227 340.0 |
Rozliczenia międzyokresowe |
66 696.0 |
28 248.0 |
27 944.0 |
27 959.0 |
77 805.0 |
33 344.0 |
33 913.0 |
34 839.0 |
93 501.0 |
37 084.0 |
34 230.0 |
34 022.0 |
80 720.0 |
35 147.0 |
35 385.0 |
33 995.0 |
80 620.0 |
29 461.0 |
30 881.0 |
32 075.0 |
84 942.0 |
31 344.0 |
31 206.0 |
30 159.0 |
78 737.0 |
26 792.0 |
27 215.0 |
26 199.0 |
84 194.0 |
0.0 |
0.0 |
0.0 |
9 579.0 |
0.0 |
31 809.0 |
33 905.0 |
10 446.0 |
46 427.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Zobowiązania długoterminowe |
130 314.0 |
144 661.0 |
137 833.0 |
135 540.0 |
145 176.0 |
147 812.0 |
151 713.0 |
151 594.0 |
139 307.0 |
149 983.0 |
143 179.0 |
147 669.0 |
152 726.0 |
150 373.0 |
155 693.0 |
161 639.0 |
172 846.0 |
186 228.0 |
194 405.0 |
204 184.0 |
196 496.0 |
182 212.0 |
192 256.0 |
196 624.0 |
202 921.0 |
207 014.0 |
204 097.0 |
208 979.0 |
218 062.0 |
212 292.0 |
207 303.0 |
209 624.0 |
203 452.0 |
200 597.0 |
202 281.0 |
204 102.0 |
249 478.0 |
207 387.0 |
222 867.0 |
229 117.0 |
219 135.0 |
210 894.0 |
Rezerwy z tytułu odroczonego podatku |
7 989.0 |
0.0 |
0.0 |
0.0 |
8 373.0 |
0.0 |
0.0 |
0.0 |
8 301.0 |
0.0 |
0.0 |
0.0 |
8 666.0 |
0.0 |
0.0 |
0.0 |
8 077.0 |
0.0 |
0.0 |
0.0 |
7 998.0 |
0.0 |
0.0 |
0.0 |
8 182.0 |
0.0 |
0.0 |
0.0 |
8 523.0 |
0.0 |
0.0 |
0.0 |
15 054.0 |
0.0 |
0.0 |
0.0 |
39 552.0 |
0.0 |
0.0 |
0.0 |
14 984.0 |
0.0 |
Zobowiązania długoterminowe |
130 314.0 |
144 661.0 |
137 833.0 |
135 540.0 |
145 176.0 |
147 812.0 |
151 713.0 |
151 594.0 |
139 307.0 |
149 983.0 |
143 179.0 |
147 669.0 |
152 726.0 |
150 373.0 |
155 693.0 |
161 639.0 |
172 846.0 |
186 228.0 |
194 405.0 |
204 184.0 |
196 496.0 |
182 212.0 |
192 256.0 |
196 624.0 |
202 921.0 |
207 014.0 |
204 097.0 |
208 979.0 |
218 062.0 |
212 292.0 |
207 303.0 |
209 624.0 |
203 452.0 |
200 597.0 |
202 281.0 |
204 102.0 |
249 478.0 |
207 387.0 |
222 867.0 |
229 117.0 |
219 135.0 |
210 894.0 |
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 |
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 |
5 381.0 |
0.0 |
0.0 |
6 765.0 |
7 176.0 |
7 112.0 |
Zobowiązania ogółem |
261 020.0 |
286 560.0 |
277 857.0 |
277 799.0 |
293 665.0 |
307 362.0 |
312 539.0 |
313 038.0 |
316 822.0 |
328 510.0 |
311 776.0 |
311 640.0 |
313 115.0 |
321 367.0 |
327 266.0 |
329 335.0 |
340 814.0 |
353 714.0 |
361 344.0 |
370 160.0 |
364 420.0 |
365 265.0 |
375 966.0 |
378 828.0 |
368 331.0 |
376 780.0 |
377 105.0 |
375 086.0 |
382 455.0 |
384 614.0 |
380 642.0 |
385 005.0 |
386 444.0 |
386 634.0 |
400 340.0 |
405 460.0 |
456 069.0 |
427 729.0 |
451 791.0 |
439 788.0 |
436 174.0 |
438 234.0 |
Kapitał (fundusz) podstawowy |
1 218.0 |
1 218.0 |
1 218.0 |
1 218.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
1 283.0 |
Zyski zatrzymane |
71 197.0 |
70 214.0 |
75 705.0 |
74 276.0 |
69 039.0 |
68 302.0 |
67 130.0 |
68 456.0 |
70 446.0 |
74 268.0 |
77 284.0 |
78 343.0 |
81 367.0 |
83 718.0 |
85 456.0 |
88 026.0 |
91 105.0 |
91 561.0 |
91 407.0 |
92 911.0 |
96 929.0 |
100 765.0 |
95 687.0 |
94 297.0 |
100 772.0 |
107 011.0 |
112 029.0 |
113 290.0 |
117 342.0 |
128 045.0 |
133 950.0 |
144 716.0 |
137 267.0 |
141 241.0 |
140 186.0 |
146 124.0 |
148 306.0 |
151 732.0 |
151 746.0 |
151 996.0 |
155 130.0 |
158 373.0 |
Kapitał własny |
90 189.0 |
89 267.0 |
96 162.0 |
93 612.0 |
88 270.0 |
89 565.0 |
88 890.0 |
90 852.0 |
92 910.0 |
97 046.0 |
104 471.0 |
105 845.0 |
109 078.0 |
110 702.0 |
113 850.0 |
114 522.0 |
117 342.0 |
117 508.0 |
118 637.0 |
119 555.0 |
123 651.0 |
125 886.0 |
124 287.0 |
122 401.0 |
128 783.0 |
134 525.0 |
140 014.0 |
141 658.0 |
146 154.0 |
158 914.0 |
166 216.0 |
189 021.0 |
178 328.0 |
182 208.0 |
180 954.0 |
189 117.0 |
174 757.0 |
194 478.0 |
178 595.0 |
191 641.0 |
196 731.0 |
201 136.0 |
Udziały mniejszościowe |
198.0 |
200.0 |
207.0 |
207.0 |
210.0 |
211.0 |
215.0 |
219.0 |
221.0 |
225.0 |
223.0 |
224.0 |
229.0 |
230.0 |
231.0 |
219.0 |
225.0 |
489.0 |
1 756.0 |
1 801.0 |
1 870.0 |
1 815.0 |
1 766.0 |
1 638.0 |
1 734.0 |
1 794.0 |
1 767.0 |
1 723.0 |
1 705.0 |
1 875.0 |
1 908.0 |
12 552.0 |
12 950.0 |
13 343.0 |
13 766.0 |
14 267.0 |
14 218.0 |
14 509.0 |
14 285.0 |
14 517.0 |
14 437.0 |
15 541.0 |
Pasywa |
351 209.0 |
375 827.0 |
374 019.0 |
371 411.0 |
381 935.0 |
396 927.0 |
401 429.0 |
403 890.0 |
409 732.0 |
425 556.0 |
416 247.0 |
417 485.0 |
422 193.0 |
432 069.0 |
441 116.0 |
443 857.0 |
458 156.0 |
471 222.0 |
479 981.0 |
489 715.0 |
488 071.0 |
491 151.0 |
500 253.0 |
501 229.0 |
497 114.0 |
511 305.0 |
517 119.0 |
516 744.0 |
528 609.0 |
543 528.0 |
546 858.0 |
574 026.0 |
564 772.0 |
568 842.0 |
581 294.0 |
594 577.0 |
630 826.0 |
622 207.0 |
630 386.0 |
631 429.0 |
632 905.0 |
639 370.0 |
Inwestycje |
15 838.0 |
34 549.0 |
30 054.0 |
26 661.0 |
14 193.0 |
26 982.0 |
26 132.0 |
27 321.0 |
12 256.0 |
29 575.0 |
26 967.0 |
28 357.0 |
11 355.0 |
31 660.0 |
28 899.0 |
30 014.0 |
11 057.0 |
30 917.0 |
31 829.0 |
33 697.0 |
10 717.0 |
33 061.0 |
34 554.0 |
36 221.0 |
12 777.0 |
38 197.0 |
37 140.0 |
39 425.0 |
16 617.0 |
44 925.0 |
46 889.0 |
49 307.0 |
17 190.0 |
25 946.0 |
25 892.0 |
25 878.0 |
151 767.0 |
22 833.0 |
170 907.0 |
172 381.0 |
17 511.0 |
27 915.0 |
Dług |
108 647.0 |
111 566.0 |
112 762.0 |
111 987.0 |
119 105.0 |
120 485.0 |
117 342.0 |
115 680.0 |
121 040.0 |
129 199.0 |
125 633.0 |
124 298.0 |
132 066.0 |
129 927.0 |
134 306.0 |
141 067.0 |
160 872.0 |
159 792.0 |
166 184.0 |
166 408.0 |
168 820.0 |
170 879.0 |
181 657.0 |
176 962.0 |
174 312.0 |
175 586.0 |
173 034.0 |
176 479.0 |
183 370.0 |
182 220.0 |
178 940.0 |
175 442.0 |
178 436.0 |
178 645.0 |
182 462.0 |
191 992.0 |
247 954.0 |
195 241.0 |
270 922.0 |
196 912.0 |
196 520.0 |
190 389.0 |
Środki pieniężne i inne aktywa pieniężne |
19 124.0 |
18 148.0 |
17 598.0 |
22 981.0 |
20 872.0 |
33 779.0 |
29 691.0 |
27 010.0 |
19 264.0 |
27 704.0 |
22 288.0 |
21 395.0 |
18 457.0 |
21 950.0 |
21 720.0 |
25 175.0 |
28 938.0 |
22 256.0 |
23 006.0 |
30 397.0 |
25 923.0 |
28 449.0 |
43 404.0 |
45 548.0 |
33 910.0 |
36 440.0 |
40 812.0 |
36 608.0 |
39 724.0 |
44 847.0 |
33 921.0 |
32 896.0 |
29 172.0 |
36 247.0 |
37 129.0 |
45 662.0 |
43 449.0 |
51 185.0 |
50 391.0 |
51 392.0 |
40 296.0 |
36 756.0 |
Dług netto |
89 523.0 |
93 418.0 |
95 164.0 |
89 006.0 |
98 233.0 |
86 706.0 |
87 651.0 |
88 670.0 |
101 776.0 |
101 495.0 |
103 345.0 |
102 903.0 |
113 609.0 |
107 977.0 |
112 586.0 |
115 892.0 |
131 934.0 |
137 536.0 |
143 178.0 |
136 011.0 |
142 897.0 |
142 430.0 |
138 253.0 |
131 414.0 |
140 402.0 |
139 146.0 |
132 222.0 |
139 871.0 |
143 646.0 |
137 373.0 |
145 019.0 |
142 546.0 |
149 264.0 |
142 398.0 |
145 333.0 |
146 330.0 |
204 505.0 |
144 056.0 |
220 531.0 |
145 520.0 |
156 224.0 |
153 633.0 |
Ticker |
VOW.DE |
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Waluta |
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