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) |
3 202.625762 |
9 121.715894 |
9 937.620003 |
9 938.8 |
10 778.2 |
7 702.7 |
14 389.1 |
14 695.9 |
17 252.0 |
24 463.3 |
22 351.5 |
24 345.1 |
25 150.6 |
24 877.6 |
25 005.4 |
26 753.8 |
28 749.2 |
34 568.3 |
33 668.7 |
33 867.7 |
31 328.8 |
36 189.9 |
27 870.8 |
28 822.5 |
26 888.9 |
25 509.0 |
Aktywa trwałe (mln) |
1 312.353062 |
5 433.887924 |
6 390.230691 |
6 363.0 |
6 694.2 |
5 581.4 |
8 196.9 |
7 732.3 |
8 689.9 |
13 355.7 |
12 756.2 |
13 087.6 |
13 406.2 |
13 452.9 |
13 255.2 |
14 238.2 |
15 373.8 |
19 125.3 |
18 506.0 |
17 924.3 |
15 886.8 |
12 185.4 |
12 535.2 |
13 724.2 |
12 945.3 |
11 848.0 |
Rzeczowe aktywa trwałe netto |
196.468556 |
390.616045 |
433.75214 |
377.3 |
344.6 |
410.0 |
423.5 |
415.3 |
449.6 |
690.7 |
680.5 |
708.4 |
728.3 |
768.3 |
773.3 |
772.5 |
797.7 |
968.7 |
979.5 |
1 083.0 |
2 610.5 |
2 295.4 |
2 291.5 |
2 529.2 |
2 210.7 |
2 294.0 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
(0.000228) |
5 675.2 |
5 434.5 |
6 071.7 |
9 093.2 |
8 697.5 |
9 106.3 |
9 430.8 |
9 457.2 |
9 472.8 |
9 979.4 |
10 670.6 |
13 214.3 |
12 952.9 |
13 202.8 |
10 170.7 |
7 388.8 |
7 612.3 |
8 453.4 |
8 388.9 |
7 610.0 |
Wartości niematerialne i prawne |
759.405233 |
4 452.042201 |
5 401.760354 |
5 357.0 |
5 660.3 |
5 163.3 |
1 260.6 |
1 115.4 |
1 154.6 |
2 295.8 |
2 000.7 |
1 904.5 |
1 859.9 |
1 827.4 |
1 667.8 |
1 668.9 |
1 715.4 |
2 217.3 |
2 018.4 |
1 842.0 |
1 468.8 |
1 389.3 |
1 359.5 |
1 451.9 |
849.9 |
737.0 |
Wartość firmy i wartości niematerialne i prawne |
759.405233 |
4 452.042201 |
5 401.760354 |
5 357.0 |
5 660.3 |
5 163.3 |
6 935.8 |
6 549.9 |
7 226.3 |
11 389.0 |
8 697.5 |
11 010.8 |
11 290.7 |
11 284.6 |
11 140.6 |
11 648.3 |
12 386.0 |
15 431.6 |
14 971.3 |
15 044.8 |
11 639.5 |
8 778.1 |
8 971.8 |
9 905.3 |
9 238.8 |
8 347.0 |
Należności netto |
1 170.620101 |
2 377.732658 |
0.0 |
2 378.176605 |
2 343.86592 |
0.000826 |
(825.8) |
4 931.9 |
6 140.8 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
6 632.9 |
7 262.7 |
0.0 |
8 372.8 |
9 134.3 |
632.4 |
11 700.6 |
10 834.5 |
11 237.4 |
12 370.2 |
11 487.1 |
6 725.0 |
Inwestycje długoterminowe |
0.0 |
0.0 |
0.0 |
438.204594 |
288.0208 |
(235.790644) |
0.16369 |
0.204948 |
(0.944831) |
1 025.2 |
1 023.9 |
965.8 |
499.9 |
176.5 |
1 063.4 |
1 429.1 |
1 917.3 |
2 379.7 |
2 218.7 |
831.1 |
447.7 |
871.4 |
880.8 |
889.6 |
826.4 |
651.0 |
Aktywa obrotowe |
1 890.2727 |
3 687.82797 |
3 547.389312 |
3 575.8 |
4 084.0 |
2 121.3 |
6 192.2 |
6 963.6 |
8 562.1 |
11 107.6 |
9 595.3 |
11 257.5 |
11 744.4 |
11 424.7 |
11 750.2 |
12 515.6 |
13 375.4 |
15 443.0 |
15 162.7 |
15 943.4 |
15 442.0 |
24 004.5 |
15 335.6 |
15 098.3 |
13 943.6 |
13 661.0 |
Środki pieniężne i Inwestycje |
606.285765 |
1 068.738708 |
663.857711 |
879.5 |
1 419.9 |
1 616.0 |
1 115.2 |
1 663.7 |
2 040.2 |
2 572.5 |
1 666.7 |
1 965.2 |
2 402.3 |
1 945.3 |
2 221.6 |
2 512.7 |
2 382.4 |
2 436.9 |
2 391.4 |
2 643.2 |
2 969.0 |
12 899.1 |
3 882.9 |
2 491.5 |
2 217.5 |
2 638.0 |
Zapasy |
113.366217 |
241.357273 |
237.421456 |
271.6 |
269.6 |
220.6 |
281.5 |
341.5 |
343.9 |
343.9 |
306.7 |
366.0 |
333.9 |
348.2 |
304.5 |
327.3 |
329.0 |
400.4 |
424.3 |
366.5 |
0.0 |
22.8 |
0.0 |
1e-06 |
0.0 |
0.0 |
Inwestycje krótkoterminowe |
0.0 |
0.0 |
76.96889 |
190.4 |
401.8 |
243.890644 |
565.03631 |
547.695052 |
809.644831 |
0.0 |
0.0 |
0.0 |
492.2 |
887.2 |
0.0 |
0.0 |
0.0 |
180.7 |
341.8 |
632.4 |
863.6 |
2 824.1 |
1 106.3 |
219.9 |
0.0 |
655.0 |
Środki pieniężne i inne aktywa pieniężne |
606.285765 |
1 068.738708 |
586.888821 |
689.1 |
1 018.1 |
1 616.0 |
1 115.2 |
1 663.7 |
2 040.2 |
2 572.5 |
1 666.7 |
1 965.2 |
2 402.3 |
1 945.3 |
2 221.6 |
2 512.7 |
2 382.4 |
2 436.9 |
2 391.4 |
2 643.2 |
2 969.0 |
12 899.1 |
3 882.9 |
2 491.5 |
2 217.5 |
1 983.0 |
Należności krótkoterminowe |
1 313.45215 |
2 577.645305 |
2 511.714655 |
2 477.8 |
2 733.3 |
2 885.3 |
4 659.3 |
4 743.6 |
5 843.6 |
10 407.7 |
6 432.7 |
11 703.6 |
7 292.7 |
7 227.5 |
7 150.2 |
7 846.3 |
8 538.3 |
10 308.3 |
9 893.0 |
10 524.3 |
10 112.1 |
10 206.5 |
10 596.9 |
11 182.3 |
10 825.7 |
10 637.0 |
Dług krótkoterminowy |
148.125354 |
297.917653 |
320.603687 |
227.0 |
566.3 |
605.0 |
457.8 |
1 260.6 |
1 585.9 |
1 640.8 |
720.7 |
255.4 |
974.1 |
1 085.9 |
941.4 |
653.2 |
932.0 |
1 002.5 |
624.1 |
1 025.1 |
763.5 |
8 943.0 |
846.9 |
1 451.4 |
1 238.6 |
824.0 |
Zobowiązania krótkoterminowe |
2 145.471402 |
4 256.93403 |
4 331.510398 |
4 100.1 |
4 697.1 |
5 166.8 |
7 342.7 |
8 084.0 |
9 904.8 |
12 136.3 |
10 566.3 |
12 074.8 |
12 253.0 |
12 096.6 |
11 772.2 |
12 595.8 |
14 215.5 |
16 765.2 |
15 514.5 |
16 609.4 |
15 620.6 |
23 133.6 |
16 485.4 |
17 708.3 |
16 250.8 |
15 516.0 |
Rozliczenia międzyokresowe |
0.0 |
267.885664 |
322.909257 |
335.167735 |
391.39184 |
405.61808 |
604.06061 |
510.641216 |
601.092725 |
0.0 |
910.9 |
0.0 |
0.0 |
3 765.0 |
917.8 |
990.4 |
1 081.0 |
1 312.7 |
1 212.1 |
545.9 |
1 024.599999 |
1 153.7 |
1 334.0 |
1 599.0 |
1 318.9 |
0.0 |
Zobowiązania długoterminowe |
730.838823 |
1 427.020284 |
1 957.197421 |
2 124.3 |
2 013.5 |
1 717.8 |
3 060.6 |
2 693.5 |
3 252.4 |
6 367.2 |
5 709.5 |
5 622.4 |
6 003.3 |
5 720.4 |
5 386.7 |
6 331.2 |
6 517.9 |
8 035.5 |
8 192.2 |
7 451.7 |
7 264.7 |
7 889.9 |
7 316.4 |
6 953.8 |
6 805.4 |
6 259.0 |
Rezerwy z tytułu odroczonego podatku |
4.694307 |
0.0 |
0.0 |
0.0 |
0.0 |
312.3 |
533.1 |
467.8 |
464.0 |
1 406.1 |
809.6 |
1 232.5 |
741.4 |
680.3 |
650.7 |
667.6 |
552.3 |
692.4 |
513.7 |
479.5 |
379.8 |
304.1 |
312.5 |
350.8 |
445.0 |
0.0 |
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 |
2249.7 |
2156.3 |
2041.8 |
2210.6 |
1862.2 |
2020.0 |
Zobowiązania ogółem |
2 876.310225 |
5 683.954314 |
6 288.707819 |
6 224.4 |
6 710.6 |
6 884.6 |
10 403.3 |
10 777.5 |
13 157.2 |
18 503.5 |
16 275.8 |
17 697.2 |
18 256.3 |
17 817.0 |
17 158.9 |
18 927.0 |
20 733.4 |
24 800.7 |
23 706.7 |
24 061.1 |
22 885.3 |
31 023.5 |
23 801.8 |
24 662.1 |
23 056.2 |
21 775.0 |
Kapitał własny |
317.825728 |
3 413.535669 |
3 607.721619 |
3 675.6 |
4 019.5 |
763.5 |
3 904.5 |
3 826.9 |
3 974.4 |
5 762.2 |
5 894.0 |
6 446.6 |
6 663.3 |
6 811.0 |
7 586.8 |
7 500.1 |
7 637.4 |
9 324.5 |
9 493.2 |
9 806.6 |
8 443.5 |
5 166.4 |
4 069.0 |
4 160.4 |
3 832.7 |
3 734.0 |
Udziały mniejszościowe |
8.489809 |
24.225912 |
41.190566 |
38.8 |
48.1 |
54.6 |
81.3 |
91.5 |
120.4 |
197.6 |
181.7 |
201.3 |
231.0 |
249.6 |
259.7 |
326.7 |
378.4 |
443.1 |
468.8 |
424.4 |
371.4 |
318.1 |
452.6 |
479.6 |
457.1 |
259.0 |
Pasywa |
3 202.625762 |
9 121.715894 |
9 937.620003 |
9 938.8 |
10 778.2 |
7 702.7 |
14 389.1 |
14 695.9 |
17 252.0 |
24 463.3 |
22 351.5 |
24 345.1 |
25 150.6 |
24 877.6 |
25 005.4 |
26 753.8 |
28 749.2 |
34 568.3 |
33 668.7 |
33 867.7 |
31 328.8 |
36 189.9 |
27 870.8 |
28 822.5 |
26 888.9 |
25 509.0 |
Inwestycje |
0.0 |
0.0 |
76.96889 |
628.7 |
689.3 |
8.1 |
565.2 |
547.9 |
808.7 |
1 025.2 |
1 023.9 |
965.8 |
992.1 |
1 063.7 |
1 063.4 |
1 429.1 |
1 917.3 |
2 379.7 |
2 218.7 |
1 463.5 |
1 311.3 |
718.0 |
731.2 |
674.9 |
826.4 |
651.0 |
Dług (mln) |
514.493332 |
1 093.364992 |
1 736.412549 |
1 629.5 |
1 795.3 |
1 923.6 |
1 919.2 |
2 478.3 |
3 325.9 |
5 640.1 |
4 307.1 |
3 853.6 |
4 867.1 |
4 766.5 |
4 462.0 |
4 788.1 |
5 593.2 |
6 567.4 |
6 874.5 |
6 659.9 |
6 758.3 |
15 751.0 |
6 825.8 |
7 181.4 |
6 875.8 |
6 348.0 |
Środki pieniężne i inne aktywa pieniężne |
606.285765 |
1 068.738708 |
586.888821 |
689.1 |
1 018.1 |
1 616.0 |
1 115.2 |
1 663.7 |
2 040.2 |
2 572.5 |
1 666.7 |
1 965.2 |
2 402.3 |
1 945.3 |
2 221.6 |
2 512.7 |
2 382.4 |
2 436.9 |
2 391.4 |
2 643.2 |
2 969.0 |
12 899.1 |
3 882.9 |
2 491.5 |
2 217.5 |
1 983.0 |
Dług netto |
(91.792433) |
24.626285 |
1 149.523728 |
940.4 |
777.2 |
307.6 |
804.0 |
814.6 |
1 285.7 |
3 067.6 |
2 640.4 |
1 888.4 |
2 464.8 |
2 821.2 |
2 240.4 |
2 275.4 |
3 210.8 |
4 130.5 |
4 483.1 |
4 016.7 |
3 789.3 |
2 851.9 |
2 942.9 |
4 689.9 |
4 658.3 |
4 365.0 |
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