BR
BRIDGESTONE EUROPE NV/SA
0441.192.820
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Ratio | 2022 | 2021 | 2020 | 2019 | 2018 |
---|---|---|---|---|---|
Overzicht | |||||
Kredietlimiet |
€
235.93M
1.91%
|
€
231.51M
2.25%
|
€
226.42M
-7.8%
|
€
245.58M
15.65%
|
€
212.35M
|
Omzet |
€
4.43B
18.16%
|
€
3.75B
16.51%
|
€
3.22B
-12.02%
|
€
3.66B
25.73%
|
€
2.91B
|
Winst |
€
250.47M
22.68%
|
€
204.16M
129.23%
|
€
-698.44M
-2424.05%
|
€
-27.67M
60.79%
|
€
-70.58M
|
Eigen vermogen |
€
2.36B
1.91%
|
€
2.32B
2.25%
|
€
2.26B
-7.8%
|
€
2.46B
15.65%
|
€
2.12B
|
Werknemers |
387.10
2.38%
|
378.10
-10.1%
|
420.60
17.03%
|
359.40
6.02%
|
339.00
|
Dividenden |
€
5.00M
|
||||
Winstgevenheid | |||||
EBITDA |
€
267.90M
20.66%
|
€
222.03M
170.45%
|
€
-315.13M
-1227.69%
|
€
27.95M
855.23%
|
€
-3.70M
|
EBIT |
€
250.47M
22.68%
|
€
204.16M
157.38%
|
€
-355.81M
-20331.72%
|
€
-1.74M
95.59%
|
€
-39.52M
|
Net profit |
€
49.11M
-3.63%
|
€
50.95M
107.3%
|
€
-698.44M
-2424.05%
|
€
-27.67M
60.79%
|
€
-70.58M
|
Capex |
€
26.32M
26.57%
|
€
20.79M
-21.86%
|
€
26.61M
0.29%
|
€
26.53M
-40.15%
|
€
44.33M
|
Liquiditeit | |||||
Cash |
€
20.28M
-54.71%
|
€
44.78M
118.58%
|
€
20.49M
-81.36%
|
€
109.95M
226.17%
|
€
33.71M
|
Cashflow |
€
61.79M
-23.69%
|
€
80.97M
112.31%
|
€
-657.56M
-22114.4%
|
€
2.99M
108.57%
|
€
-34.84M
|
Current ratio |
1.32
-5.04%
|
1.39
61.63%
|
0.86
-32.28%
|
1.27
-10.56%
|
1.42
|
Quick ratio |
1.15
-11.54%
|
1.30
85.71%
|
0.70
-31.37%
|
1.02
-3.77%
|
1.06
|
Working capital |
€
789.68M
5.24%
|
€
750.38M
392.83%
|
€
-256.25M
-150.68%
|
€
505.63M
6.44%
|
€
475.04M
|
Working capital ratio |
1.40
-7.28%
|
1.51
14.39%
|
1.32
-11.41%
|
1.49
-15.34%
|
1.76
|
Solvabiliteit | |||||
Totaal activa |
€
5.66B
9.67%
|
€
5.16B
4.1%
|
€
4.96B
-1.22%
|
€
5.02B
43.66%
|
€
3.50B
|
Schulden |
€
3.27B
16.35%
|
€
2.81B
5.24%
|
€
2.67B
5.11%
|
€
2.54B
87.12%
|
€
1.36B
|
Solvabiliteit |
41.66%
-7.07%
|
44.83%
-1.77%
|
45.64%
-6.67%
|
48.9%
-19.49%
|
60.74%
|
Langetermijnschuldgraad |
0.34
-12.82%
|
0.39
8.33%
|
0.36
33.33%
|
0.27
170%
|
0.10
|
Interest Coverage Ratio |
5.97
-13.22%
|
6.88
127.26%
|
-25.23
-856.82%
|
-2.64
90.88%
|
-28.91
|
Rentabiliteit | |||||
Bruto rentabiliteit |
2.62%
-25.14%
|
3.5%
112.05%
|
-29.04%
-24300%
|
0.12%
107.32%
|
-1.64%
|
Netto rentabiliteit |
2.08%
-5.45%
|
2.2%
107.13%
|
-30.85%
-2630.09%
|
-1.13%
65.96%
|
-3.32%
|
Return On Assets (ROA) |
0.87
-12.13%
|
0.99
107.01%
|
-14.08
-2455.33%
|
-0.55
72.71%
|
-2.02
|
Return On Equity (ROE) |
2.08
-5.43%
|
2.20
107.13%
|
-30.85
-2637.64%
|
-1.13
66.1%
|
-3.32
|
Efficiëntie | |||||
Klantenkrediet |
87.30
-5.53%
|
92.41
7.09%
|
86.29
-0.21%
|
86.47
16.77%
|
74.05
|
Leverancierskrediet |
107.52
22.49%
|
87.78
19.44%
|
73.49
0.59%
|
73.06
-0.68%
|
73.56
|
Inventory Turnover Ratio |
5.22
-5.06%
|
5.50
22.45%
|
4.49
-4.09%
|
4.69
8.93%
|
4.30
|
Days Sales Outstanding (DSO) |
87.30
-5.52%
|
92.41
7.09%
|
86.29
-0.2%
|
86.47
16.76%
|
74.05
|
Days Sales of Inventory (DSI) |
79.65
11.05%
|
71.73
7.21%
|
66.90
-22.36%
|
86.17
-2.31%
|
88.21
|
Sociale balans | |||||
Werknemers |
387.10
2.38%
|
378.10
-10.1%
|
420.60
17.03%
|
359.40
6.02%
|
339.00
|
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