Annual & interim reports are not available for this stock.
Values are quoted in the stock's local currency: Euro.
|€ (Millions)||€ (Millions)||€ (Millions)||€ (Millions)||€ (Millions)|
|Operating Profit / (Loss):||1,059.00||883.00||1,181.00||920.00||953.00|
|Profit Before Tax:||1,039.00||835.00||1,113.00||851.00||869.00|
|Profit after tax from continuing operations:||686.00||564.00||773.00||524.00||608.00|
|Profit after tax from discontinuing operations:||n/a||n/a||n/a||n/a||n/a|
|Profit for the period:||n/a||n/a||n/a||n/a||n/a|
|Equity holders of parent company:||n/a||n/a||n/a||n/a||n/a|
|Minority Interests / Other Equity:||n/a||n/a||n/a||n/a||n/a|
|Total Dividend Paid:||c n/a||c n/a||c n/a||c n/a||c n/a|
|Retained Profit / (Loss) for the Financial Year:||c n/a||c n/a||c n/a||c n/a||c n/a|
|Earnings per Share:|
|Dividend per Share:||€0.00||€0.00||€0.00||€0.00||€0.00|
|€ (Millions)||€ (Millions)||€ (Millions)||€ (Millions)|
|Property, Plant & Equipment:||1,638.00||1,454.00||1,238.00||1,095.00||n/a|
|Other Financial Assets:||n/a||n/a||n/a||n/a||n/a|
|Other Non-Current Assets:||1,000.00||853.00||717.00||747.00||n/a|
|Trade and Other Receivables:||n/a||n/a||n/a||n/a||n/a|
|Cash at Bank & In Hand:||1,365.00||1,683.00||1,587.00||1,670.00||n/a|
|Current Asset Investments:||n/a||n/a||n/a||n/a||n/a|
|Other Current Assets:||3,020.00||3,139.00||2,636.00||2,721.00||n/a|
|Other Current Liabilities:||4,855.00||3,999.00||3,938.00||4,094.00||n/a|
|Net Current Assets:||c 2,134.00||c 2,970.00||c 2,125.00||c 2,503.00||c n/a|
|Other Non-Current Liabilities:||851.00||829.00||711.00||779.00||n/a|
|Capital & reserves:|
|Share Premium Account:||n/a||n/a||n/a||n/a||n/a|
|Minority Interests / Other Equity:||(18.00)||(7.00)||(8.00)||(13.00)||n/a|
a. Includes discontinued activities
b. Including assets due in more than one year
c. Not disclosed under IFRS
d. Total fixed assets
e. Includes borrowings
Financials provided by Digital Look Ltd.
The London Stock Exchange does not disclose whether a trade is a buy or a sell so this data is estimated based on the trade price received and the LSE-quoted mid-price at the point the trade is placed. It should only be considered an indication and not a recommendation.
Trades priced above the mid-price at the time the trade is placed are labelled as a buy; those priced below the mid-price are sells; and those priced close to the mid-price or declared late are labelled 'N/A'.