BASLER AG O.N.

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Firmenbeschreibung

Die Basler AG ist ein führender Anbieter für digitale Industriekameras. Die auf die Anwendungsbedürfnisse der Kunden zugeschnittenen Lösungen und Komponenten zur Qualitätssicherung werden in einer Vielzahl von High-End- bis Entry Level-Produktionsprozessen eingesetzt. Das Portfolio umfasst digitale Kameras, welche in computerbasierte Sehsysteme eingebaut werden oder im Bereich der Videoüberwachung zu finden sind. Konkrete Anwendungsbeispiele sind u.a. die Oberflächeninspektion bei der Produktion von Kunststoffbahnen, Flachbildschirmen oder Wafern, die optische Zeichenerkennung bei der Briefsortierung und Beleglesung, die Druckbildkontrolle in der Verpackungsindustrie oder die Reststoffsortierung.

KeyData

endOfFinancialYear: 31.12.2022 00:00
stockholderStructure: Norbert Basler (53%),free float (31%),Citigroup Inc. (4%),Dr. Dietmar Ley (CEO) (4%),Union Investment (3%),Universal Investment (3%),treasury shares (2%)
sharesOutstanding: 30736812.0000
ceo: Dr. Dietmar Ley
board: Hardy Mehl, Alexander Temme
supervisoryBoard: Norbert Basler, Horst W. Garbrecht, Dr. Mirja Steinkamp, Alexander Jürn, Tanja Schley, Lennart Schulenburg
countryID: 2
freeFloat: 53.0000
faceValueCurrencyID: 1
faceValueCurrency: EUR
sectorName: Maschinenbau
industryName: Industrie
country: Deutschland
countryName: Deutschland

Kontakt

name: Verena Fehling
phone: +49-4102-463-101
email: ir@baslerweb.com
irWebSite: is.gd/0Py4Xa

Adresse

street: An der Strusbek 60-62
city: D-22926 Ahrensburg
phone: +49-4102-463-0
fax: +49-4102-463-109
webSite: www.baslerweb.com
email: info@baslerweb.com

Finanzen (kurz)

year: 2021 cash: 54.8000
balanceSheetTotal: 227.3000 liabilities: 98.6000
totalShareholdersEquity: 128.7000 sales: 214.7000
investment: 0.2000 incomeBeforeTaxes: 28.0000
netIncome: 20.8000 cashFlow: 7.0000
employees: 914 currencyID: 1
units: 1000000 currency: EUR
year: 2022 cash: 28.7000
balanceSheetTotal: 265.5000 liabilities: 124.0000
totalShareholdersEquity: 141.5000 sales: 272.2000
investment: 0.3000 incomeBeforeTaxes: 28.3000
netIncome: 21.4000 employees: 1047
currencyID: 1 units: 1000000
currency: EUR
year: 2023 cash: 32.2200
balanceSheetTotal: 255.7500 liabilities: 116.5700
totalShareholdersEquity: 139.1700 sales: 203.1000
investment: 3.2800 incomeBeforeTaxes: -20.1700
netIncome: -13.8000 employees: 1059
currencyID: 1 units: 1000000
currency: EUR

Finanzen (kurz)

year: 2021
cash: 54.8000
balanceSheetTotal: 227.3000
liabilities: 98.6000
totalShareholdersEquity: 128.7000
sales: 214.7000
investment: 0.2000
incomeBeforeTaxes: 28.0000
netIncome: 20.8000
cashFlow: 7.0000
employees: 914
currencyID: 1
units: 1000000
currency: EUR
year: 2022
cash: 28.7000
balanceSheetTotal: 265.5000
liabilities: 124.0000
totalShareholdersEquity: 141.5000
sales: 272.2000
investment: 0.3000
incomeBeforeTaxes: 28.3000
netIncome: 21.4000
employees: 1047
currencyID: 1
units: 1000000
currency: EUR
year: 2023
cash: 32.2200
balanceSheetTotal: 255.7500
liabilities: 116.5700
totalShareholdersEquity: 139.1700
sales: 203.1000
investment: 3.2800
incomeBeforeTaxes: -20.1700
netIncome: -13.8000
employees: 1059
currencyID: 1
units: 1000000
currency: EUR

Finanzen (ausführlich)

year: 2022 units: 1000000
balanceSheetTotal: 265.5000 cash: 28.7000
currentAssets: 134.6000 fixedAssets: 130.9000
liabilities: 45.9000 nonCurrentLiabilities: 78.4000
totalLiabilitiesEquity: 265.5000 provisions: 12.9000
totalShareholdersEquity: 141.5000 employees: 1047
property: 12.6000 intangibleAssets: 48.5000
longTermInvestments: 1.4000 inventories: 50.3000
accountsReceivable: 47.2000 accountsPayable: 19.4000
liabilitiesTotal: 124.0000 longTermDebt: 13.6000
shortTermDebt: 11.9000 sales: 272.2000
netIncome: 21.4000 operatingResult: 28.9000
incomeInterest: -0.7000 investments: 31.4000
incomeTaxes: 6.7000 costGoodsSold: 140.4000
grossProfit: 131.8000 revenuePerEmployee: 259980.8978
cashFlow: 12.4000 cashFlowInvesting: -44.2000
cashFlowFinancing: 5.7000 accountingStandard: IFRS
equityRatio: 53.2957 debtEquityRatio: 87.6325
liquidityI: 62.5272 liquidityII: 165.3595
netMargin: 7.8619 grossMargin: 48.4203
cashFlowMargin: 4.5555 ebitMargin: 10.6172
ebitdaMargin: 0.0000 preTaxROE: 20.0000
preTaxROA: 10.6591 roe: 15.1237
roa: 8.0603 netIncomeGrowth: 2.8846
revenuesGrowth: 26.7816 taxExpenseRate: 23.6749
equityTurnover: 1.9237 epsBasic: 0.7100
epsBasicGrowth: -65.8654 incomeBeforeTaxes: 28.3000
priceEarningsRatioCompany: 43.4507 priceCashFlowRatio: 74.3345
dividendYield: 0.4538 bookValuePerShare: 4.7359
marketCap: 921747406.0000 earningsYield: 2.3015
pegRatio: -0.6597 cashFlowPerShare: 0.4150
priceBookValueRatio: 6.5141 dividendsPerShare: 0.1400
priceEarningsRatio: 43.0723 netEarningsPerShare: 0.7162
currency: EUR
year: 2023 units: 1000000
balanceSheetTotal: 255.7500 cash: 32.2200
currentAssets: 119.0300 fixedAssets: 136.7100
liabilities: 40.2200 nonCurrentLiabilities: 76.3500
totalLiabilitiesEquity: 255.7500 provisions: 11.8000
totalShareholdersEquity: 139.1700 employees: 1059
property: 14.6200 intangibleAssets: 44.3000
inventories: 44.0400 accountsReceivable: 27.4200
accountsPayable: 14.6700 liabilitiesTotal: 116.5700
longTermDebt: 71.2600 shortTermDebt: 2.7300
minorityInterests: 0.0000 sales: 203.1000
netIncome: -13.8000 operatingResult: -21.9000
incomeInterest: 1.4900 investments: 37.2000
incomeTaxes: -6.3600 costGoodsSold: 117.3800
grossProfit: 85.7200 minorityInterestsProfit: 0.0000
revenuePerEmployee: 191784.7025 cashFlow: 4.2200
cashFlowInvesting: -13.4400 cashFlowFinancing: 12.7300
accountingStandard: IFRS equityRatio: 54.4164
debtEquityRatio: 83.7681 liquidityI: 80.1094
liquidityII: 148.2844 netMargin: -6.7947
grossMargin: 42.2058 cashFlowMargin: 2.0778
ebitMargin: -10.7829 ebitdaMargin: 0.0000
preTaxROE: -14.4931 preTaxROA: -7.8866
roe: -9.9159 roa: -5.3959
netIncomeGrowth: -164.4860 revenuesGrowth: -25.3857
taxExpenseRate: 31.5320 equityTurnover: 1.4594
epsBasic: -0.4500 epsBasicGrowth: -163.3803
incomeBeforeTaxes: -20.1700 priceCashFlowRatio: 82.1591
bookValuePerShare: 4.5278 marketCap: 346711239.3600
earningsYield: -3.9894 cashFlowPerShare: 0.1373
netAssetsPerShare: 4.5278 priceBookValueRatio: 2.4913
netEarningsPerShare: -0.4490 currency: EUR
year: 2024 priceCashFlowRatio: 87.6946
bookValuePerShare: 4.5278 marketCap: 370071216.4800
earningsYield: -3.7375 pegRatio: 0.1638
cashFlowPerShare: 0.1373 netAssetsPerShare: 4.5278
priceBookValueRatio: 2.6591 netEarningsPerShare: -0.4490
currency: EUR

Finanzen (ausführlich)

year: 2022
units: 1000000
balanceSheetTotal: 265.5000
cash: 28.7000
currentAssets: 134.6000
fixedAssets: 130.9000
liabilities: 45.9000
nonCurrentLiabilities: 78.4000
totalLiabilitiesEquity: 265.5000
provisions: 12.9000
totalShareholdersEquity: 141.5000
employees: 1047
property: 12.6000
intangibleAssets: 48.5000
longTermInvestments: 1.4000
inventories: 50.3000
accountsReceivable: 47.2000
accountsPayable: 19.4000
liabilitiesTotal: 124.0000
longTermDebt: 13.6000
shortTermDebt: 11.9000
sales: 272.2000
netIncome: 21.4000
operatingResult: 28.9000
incomeInterest: -0.7000
investments: 31.4000
incomeTaxes: 6.7000
costGoodsSold: 140.4000
grossProfit: 131.8000
revenuePerEmployee: 259980.8978
cashFlow: 12.4000
cashFlowInvesting: -44.2000
cashFlowFinancing: 5.7000
accountingStandard: IFRS
equityRatio: 53.2957
debtEquityRatio: 87.6325
liquidityI: 62.5272
liquidityII: 165.3595
netMargin: 7.8619
grossMargin: 48.4203
cashFlowMargin: 4.5555
ebitMargin: 10.6172
ebitdaMargin: 0.0000
preTaxROE: 20.0000
preTaxROA: 10.6591
roe: 15.1237
roa: 8.0603
netIncomeGrowth: 2.8846
revenuesGrowth: 26.7816
taxExpenseRate: 23.6749
equityTurnover: 1.9237
epsBasic: 0.7100
epsBasicGrowth: -65.8654
incomeBeforeTaxes: 28.3000
priceEarningsRatioCompany: 43.4507
priceCashFlowRatio: 74.3345
dividendYield: 0.4538
bookValuePerShare: 4.7359
marketCap: 921747406.0000
earningsYield: 2.3015
pegRatio: -0.6597
cashFlowPerShare: 0.4150
priceBookValueRatio: 6.5141
dividendsPerShare: 0.1400
priceEarningsRatio: 43.0723
netEarningsPerShare: 0.7162
currency: EUR
year: 2023
units: 1000000
balanceSheetTotal: 255.7500
cash: 32.2200
currentAssets: 119.0300
fixedAssets: 136.7100
liabilities: 40.2200
nonCurrentLiabilities: 76.3500
totalLiabilitiesEquity: 255.7500
provisions: 11.8000
totalShareholdersEquity: 139.1700
employees: 1059
property: 14.6200
intangibleAssets: 44.3000
inventories: 44.0400
accountsReceivable: 27.4200
accountsPayable: 14.6700
liabilitiesTotal: 116.5700
longTermDebt: 71.2600
shortTermDebt: 2.7300
minorityInterests: 0.0000
sales: 203.1000
netIncome: -13.8000
operatingResult: -21.9000
incomeInterest: 1.4900
investments: 37.2000
incomeTaxes: -6.3600
costGoodsSold: 117.3800
grossProfit: 85.7200
minorityInterestsProfit: 0.0000
revenuePerEmployee: 191784.7025
cashFlow: 4.2200
cashFlowInvesting: -13.4400
cashFlowFinancing: 12.7300
accountingStandard: IFRS
equityRatio: 54.4164
debtEquityRatio: 83.7681
liquidityI: 80.1094
liquidityII: 148.2844
netMargin: -6.7947
grossMargin: 42.2058
cashFlowMargin: 2.0778
ebitMargin: -10.7829
ebitdaMargin: 0.0000
preTaxROE: -14.4931
preTaxROA: -7.8866
roe: -9.9159
roa: -5.3959
netIncomeGrowth: -164.4860
revenuesGrowth: -25.3857
taxExpenseRate: 31.5320
equityTurnover: 1.4594
epsBasic: -0.4500
epsBasicGrowth: -163.3803
incomeBeforeTaxes: -20.1700
priceCashFlowRatio: 82.1591
bookValuePerShare: 4.5278
marketCap: 346711239.3600
earningsYield: -3.9894
cashFlowPerShare: 0.1373
netAssetsPerShare: 4.5278
priceBookValueRatio: 2.4913
netEarningsPerShare: -0.4490
currency: EUR
year: 2024
priceCashFlowRatio: 87.6946
bookValuePerShare: 4.5278
marketCap: 370071216.4800
earningsYield: -3.7375
pegRatio: 0.1638
cashFlowPerShare: 0.1373
netAssetsPerShare: 4.5278
priceBookValueRatio: 2.6591
netEarningsPerShare: -0.4490
currency: EUR