SANOFI SA INHABER EO 2

98,35 EUR 0,95 (+0,98%)
Bid 97,66 EUR
Ask 98,35 EUR

Firmenbeschreibung

Sanofi S.A. ist ein international agierender Pharmakonzern mit Sitz in Frankreich. Die Gesellschaft entstand in ihrer heutigen Form 2004 aus dem Zusammenschluss von Sanofi-Synthelabo mit Aventis. Durch Tochtergesellschaften, Kooperationen oder Joint Ventures ist der Konzern vornehmlich in Europa, den USA und in Japan vertreten. In seiner Forschung konzentriert sich Sanofi vorrangig auf die Bereiche Diabetes/Stoffwechsel, Herz-Kreislauf, Thrombose, Zentrales Nervensystem, Innere Medizin, Onkologie und die Entwicklung von Impfstoffen.

KeyData

endOfFinancialYear: 31.12.2022 00:00
stockholderStructure: Freefloat (88.7%),L'Oréal (9.5%),Mitarbeiter (1.8%)
sharesOutstanding: 1263561000.0000
ceo: Paul Hudson
board: Jean-Baptiste Chasseloup de Chatillon, Arnaud Robert, Bill Sibold, Brendan O’Callaghan, Dr. John Reed, Julie Van Ongevalle, Natalie Bickford, Olivier Charmeil, Roy Papatheodorou, Thomas Triomphe
supervisoryBoard: Serge Weinberg, Barbara Lavernos, Carole Piwnica, Ceng-Yann Tran, Christophe Babule, Diane Souza, Fabienne Lecorvaisier, Gilles Schnepp, Lise Kingo, Melanie Lee, Patrick Kron, Paul Hudson, Rachel Duan, Thomas Südhof, Wolfgang Laux
countryID: 5
freeFloat: 88.7000
faceValueCurrencyID: 1
faceValueCurrency: EUR
sectorName: Pharmazeutische Industrie
industryName: Gesundheitswesen
subsectorName: Pharmazeutische Industrie
country: Frankreich
countryName: Frankreich

Kontakt

name: George Grofik
phone: +33-1-53-77-45-45
email: investor.relations@sanofi.com
irWebSite: en.sanofi.com/investors/investors.aspx

Adresse

street: 54, Rue La Boétie
city: F-75008 Paris
phone: +33-1-53-77-40-00
fax: +33-1-53-77-43-03
webSite: www.sanofi-aventis.com

Finanzen (kurz)

year: 2019 cash: 9427.0000
balanceSheetTotal: 112736.0000 liabilities: 53628.0000
totalShareholdersEquity: 58934.0000 sales: 36126.0000
bankLoans: 5271.0000 investment: 141.0000
incomeBeforeTaxes: 2822.0000 netIncome: 2806.0000
cashFlow: 2502.0000 employees: 100409
currencyID: 1 units: 1000000
currency: EUR
year: 2020 cash: 13915.0000
balanceSheetTotal: 114529.0000 liabilities: 51382.0000
totalShareholdersEquity: 63001.0000 sales: 36041.0000
bankLoans: 15822.0000 investment: 53.0000
incomeBeforeTaxes: 13804.0000 netIncome: 12314.0000
cashFlow: 4488.0000 employees: 99412
currencyID: 1 units: 1000000
currency: EUR
year: 2021 cash: 10098.0000
balanceSheetTotal: 120242.0000 liabilities: 51211.0000
totalShareholdersEquity: 68681.0000 sales: 37761.0000
bankLoans: 9706.0000 investment: 40.0000
incomeBeforeTaxes: 7798.0000 netIncome: 6223.0000
cashFlow: -3817.0000 employees: 95442
currencyID: 1 units: 1000000
currency: EUR

Finanzen (kurz)

year: 2019
cash: 9427.0000
balanceSheetTotal: 112736.0000
liabilities: 53628.0000
totalShareholdersEquity: 58934.0000
sales: 36126.0000
bankLoans: 5271.0000
investment: 141.0000
incomeBeforeTaxes: 2822.0000
netIncome: 2806.0000
cashFlow: 2502.0000
employees: 100409
currencyID: 1
units: 1000000
currency: EUR
year: 2020
cash: 13915.0000
balanceSheetTotal: 114529.0000
liabilities: 51382.0000
totalShareholdersEquity: 63001.0000
sales: 36041.0000
bankLoans: 15822.0000
investment: 53.0000
incomeBeforeTaxes: 13804.0000
netIncome: 12314.0000
cashFlow: 4488.0000
employees: 99412
currencyID: 1
units: 1000000
currency: EUR
year: 2021
cash: 10098.0000
balanceSheetTotal: 120242.0000
liabilities: 51211.0000
totalShareholdersEquity: 68681.0000
sales: 37761.0000
bankLoans: 9706.0000
investment: 40.0000
incomeBeforeTaxes: 7798.0000
netIncome: 6223.0000
cashFlow: -3817.0000
employees: 95442
currencyID: 1
units: 1000000
currency: EUR

Finanzen (ausführlich)

year: 2020 currencyID: 1
units: 1000000 balanceSheetTotal: 114529.0000
cash: 13915.0000 currentAssets: 33703.0000
fixedAssets: 80743.0000 otherAssets: 83.0000
liabilities: 19248.0000 nonCurrentLiabilities: 32102.0000
totalLiabilitiesEquity: 114529.0000 otherLiabilities: 32.0000
provisions: 1770.0000 totalShareholdersEquity: 63001.0000
employees: 99412 property: 9365.0000
intangibleAssets: 18421.0000 longTermInvestments: 0.0000
inventories: 8352.0000 accountsReceivable: 7491.0000
accountsPayable: 5295.0000 liabilitiesTotal: 51382.0000
minorityInterests: 146.0000 sales: 36041.0000
depreciation: 1681.0000 netIncome: 12314.0000
operatingResult: 14141.0000 ebitda: 15822.0000
incomeInterest: -337.0000 investments: 5529.0000
incomeTaxes: 1813.0000 personnelCosts: 9076.0000
costGoodsSold: 12157.0000 grossProfit: 25212.0000
minorityInterestsProfit: -36.0000 revenuePerEmployee: 362541.7455
cashFlow: 7449.0000 cashFlowInvesting: 3588.0000
cashFlowFinancing: -6485.0000 cashFlowTotal: 4488.0000
accountingStandard: IFRS equityRatio: 55.0088
debtEquityRatio: 81.7892 liquidityI: 72.2932
liquidityII: 111.2116 netMargin: 34.1666
grossMargin: 69.9537 cashFlowMargin: 20.6681
ebitMargin: 39.2359 ebitdaMargin: 43.9000
preTaxROE: 21.9108 preTaxROA: 12.0528
roe: 19.5457 roa: 10.7519
netIncomeGrowth: 338.8453 revenuesGrowth: -0.2353
taxExpenseRate: 13.1339 equityTurnover: 0.5721
epsBasic: 9.8200 epsDiluted: 9.7700
epsBasicGrowth: 338.3929 shareCapital: 2518.0000
incomeBeforeTaxes: 13804.0000 fiscalYearBegin: 01.01.2020 00:00
fiscalYearEnd: 31.12.2020 00:00 tradeAccountsReceivables: 7491.0000
otherReceivablesAssets: 3945.0000 otherNonCurrentAssets: 4180.0000
deferredTaxAssets: 4212.0000 capitalReserves: 60408.0000
netIncomeBalanceSheet: 0.0000 longTermProvisions: 1770.0000
longTermDeferredTaxLiabilities: 1770.0000 otherNonCurrentLiabilities: 10587.0000
otherCurrentLiabilities: 11186.0000 debtTotal: 19745.0000
provisionsForTaxes: 1770.0000 otherOperatingIncome: 696.0000
salesMarketingCosts: 9390.0000 otherOperatingExpenses: 1415.0000
amortization: 1681.0000 interest: 53.0000
interestExpenses: 390.0000 netFinancialIncome: 0.0000
operatingIncomeBeforeTaxes: 13804.0000 extraordinaryIncomeLoss: 0.0000
incomeAfterTaxes: 11991.0000 incomeContinuingOperations: 12314.0000
dividendsPaid: 3937.0000 cashAtYearEnd: 13915.0000
ownStocks: -705.0000 intensityOfInvestments: 70.5000
intensityOfCapitalExpenditure: -0.0031 intensityOfPPEInvestments: 8.1770
intensityOfCapitalInvestments: 0.0000 intensityOfCurrentAssets: 29.4275
intensityOfLiquidAssets: 12.1498 debtRatio: 44.9912
provisionsRatio: 1.5455 fixedToCurrentAssetsRatio: 239.5721
dynamicDebtEquityRatioI: 691.7439 liquidityIIICurrentRatio: 175.0987
equityToFixedAssetsRatioI: 78.0266 bookValue: 2502.0254
personnelExpensesRate: 25.1824 costsOfMaterialsRate: 0.0000
researchAndDevCostsRate: 15.3409 interestExpensesRate: 1.0821
totalCapitalTurnover: 0.3147 fixedAssetsTurnover: 0.4464
inventoryTurnover: 4.3153 personnelExpensesPerEmployee: 91296.8253
netIncomePerEmployee: 123868.3459 totalAssetsPerEmployee: 1152064.1371
netIncomeInPercentOfPersonnelExpenses: 135.6765 preTaxMargin: 38.3008
employeesGrowth: -0.9929 grossProfitGrowth: -1.7268
ebitGrowth: 352.5120 calcEBITDA: 16234.0000
liquidAssetsGrowth: 47.6079 cashFlowGrowthRate: -3.8094
marketCapTotal: 98658320000.0000 freeFloatMarketCapTotal: 87509929840.0000
marketCapTotalPerEmployee: 992418.6215 roi: 1075.1862
freeFloatTotal: 88.7000 netDebtI: 5830.0000
netDebtII: 37613.0000 priceEarningsRatioCompany: 8.0143
priceCashFlowRatio: 13.2445 dividendYield: 4.0661
bookValuePerShare: 50.2561 marketCap: 98658320000.0000
earningsYield: 12.4778 pegRatio: 0.0237
cashFlowPerShare: 5.9421 netAssetsPerShare: 50.3725
priceBookValueRatio: 1.5660 dividendsPerShare: 3.2000
priceEarningsRatio: 8.0119 netEarningsPerShare: 9.8229
revenuesPerShare: 28.7500 liquidAssetsPerShare: 11.1000
netEPSGrowthII: 337.5501 dividendGrowth: 1.5873
bookValuePerShareGrowth: 6.5854 priceSalesRatio: 2.7374
marketCapToEBITDAratio: 6.2355 marketCapPerEmployee: 992418.6215
pegRatioII: 0.0237 pegRatioIII: 0.0249
earningsYieldII: 12.4815 earningsYieldIII: 12.4815
freeFloatMarketCap: 87509929840.0000 priceEPSDiluted: 8.0553
dilutedEPSGrowth: 338.1166 payoutRatio: 32.5866
epsBasic5YrAverage: 5.1760 dividendsPS5YrAverage: 3.0820
freeCashFlowPerShare: 8.8042 revenuesPerShareGrowth: -0.5297
cashFlowPerShareGrowth: -4.0933 sharesOutstanding: 1253600000.0000
sharesOutstandingDiluted: 1260100000.0000 dividendYieldRegular: 4.0661
dividendPSRegular: 3.2000 dividendCover: 3.0688
dividend3YearAnnualizedGrowth: 1.8363 dividend5YearAnnualizedGrowth: 1.7786
freeFloat: 88.7000 currency: EUR
year: 2021 currencyID: 1
units: 1000000 balanceSheetTotal: 120242.0000
cash: 10098.0000 currentAssets: 30564.0000
fixedAssets: 89589.0000 otherAssets: 89.0000
liabilities: 21295.0000 nonCurrentLiabilities: 29916.0000
totalLiabilitiesEquity: 120242.0000 otherLiabilities: 0.0000
provisions: 1617.0000 totalShareholdersEquity: 68681.0000
employees: 95442 property: 10028.0000
intangibleAssets: 21407.0000 longTermInvestments: 0.0000
inventories: 8715.0000 accountsReceivable: 7568.0000
accountsPayable: 6180.0000 liabilitiesTotal: 51211.0000
minorityInterests: 350.0000 sales: 37761.0000
depreciation: 1580.0000 netIncome: 6223.0000
operatingResult: 8126.0000 ebitda: 9706.0000
incomeInterest: -328.0000 investments: 5692.0000
incomeTaxes: 1558.0000 personnelCosts: 9340.0000
costGoodsSold: 12255.0000 grossProfit: 26920.0000
minorityInterestsProfit: -56.0000 revenuePerEmployee: 395643.4274
cashFlow: 10522.0000 cashFlowInvesting: -7298.0000
cashFlowFinancing: -7056.0000 cashFlowTotal: -3817.0000
accountingStandard: IFRS equityRatio: 57.1190
debtEquityRatio: 75.0732 liquidityI: 47.4196
liquidityII: 82.9584 netMargin: 16.4800
grossMargin: 71.2905 cashFlowMargin: 27.8647
ebitMargin: 21.5196 ebitdaMargin: 25.7038
preTaxROE: 11.3539 preTaxROA: 6.4853
roe: 9.0607 roa: 5.1754
netIncomeGrowth: -49.4640 revenuesGrowth: 4.7723
taxExpenseRate: 19.9795 equityTurnover: 0.5498
epsBasic: 4.9700 epsDiluted: 4.9500
epsBasicGrowth: -49.3890 shareCapital: 2527.0000
incomeBeforeTaxes: 7798.0000 fiscalYearBegin: 01.01.2021 00:00
fiscalYearEnd: 31.12.2021 00:00 tradeAccountsReceivables: 7568.0000
otherReceivablesAssets: 4183.0000 otherNonCurrentAssets: 5250.0000
deferredTaxAssets: 4598.0000 capitalReserves: 63545.0000
netIncomeBalanceSheet: 0.0000 longTermProvisions: 1617.0000
longTermDeferredTaxLiabilities: 1617.0000 otherNonCurrentLiabilities: 11176.0000
otherCurrentLiabilities: 11932.0000 debtTotal: 17123.0000
provisionsForTaxes: 1617.0000 otherOperatingIncome: 859.0000
salesMarketingCosts: 9555.0000 amortization: 1580.0000
interest: 40.0000 interestExpenses: 368.0000
netFinancialIncome: 0.0000 operatingIncomeBeforeTaxes: 7798.0000
extraordinaryIncomeLoss: 0.0000 incomeAfterTaxes: 6240.0000
incomeContinuingOperations: 6223.0000 dividendsPaid: 4008.0000
cashAtYearEnd: 10098.0000 ownStocks: -939.0000
intensityOfInvestments: 74.5072 intensityOfCapitalExpenditure: 0.0055
intensityOfPPEInvestments: 8.3398 intensityOfCapitalInvestments: 0.0000
intensityOfCurrentAssets: 25.4187 intensityOfLiquidAssets: 8.3981
debtRatio: 42.8810 provisionsRatio: 1.3448
fixedToCurrentAssetsRatio: 293.1194 dynamicDebtEquityRatioI: 490.0304
liquidityIIICurrentRatio: 143.5266 equityToFixedAssetsRatioI: 76.6623
bookValue: 2717.8868 personnelExpensesRate: 24.7345
costsOfMaterialsRate: 0.0000 researchAndDevCostsRate: 15.0738
interestExpensesRate: 0.9746 totalCapitalTurnover: 0.3140
fixedAssetsTurnover: 0.4215 inventoryTurnover: 4.3329
personnelExpensesPerEmployee: 97860.4807 netIncomePerEmployee: 65201.9027
totalAssetsPerEmployee: 1259843.6747 netIncomeInPercentOfPersonnelExpenses: 66.6274
preTaxMargin: 20.6509 employeesGrowth: -3.9935
grossProfitGrowth: 6.7746 ebitGrowth: -42.5359
calcEBITDA: 9785.0000 liquidAssetsGrowth: -27.4308
cashFlowGrowthRate: 41.2539 marketCapTotal: 110946450000.0000
freeFloatMarketCapTotal: 98409501150.0000 marketCapTotalPerEmployee: 1162448.9219
roi: 517.5396 freeFloatTotal: 88.7000
netDebtI: 7025.0000 netDebtII: 41463.0000
priceEarningsRatioCompany: 17.8229 priceCashFlowRatio: 10.5442
dividendYield: 3.7593 bookValuePerShare: 54.8351
marketCap: 110946450000.0000 earningsYield: 5.6107
pegRatio: -0.3609 cashFlowPerShare: 8.4008
netAssetsPerShare: 55.1146 priceBookValueRatio: 1.6154
dividendsPerShare: 3.3300 priceEarningsRatio: 17.8285
netEarningsPerShare: 4.9685 revenuesPerShare: 30.1485
liquidAssetsPerShare: 8.0623 netEPSGrowthII: -49.4196
dividendGrowth: 4.0625 bookValuePerShareGrowth: 9.1115
priceSalesRatio: 2.9381 marketCapToEBITDAratio: 11.4307
marketCapPerEmployee: 1162448.9219 pegRatioII: -0.3608
pegRatioIII: -0.3608 earningsYieldII: 5.6090
earningsYieldIII: 5.6090 freeFloatMarketCap: 98409501150.0000
priceEPSDiluted: 17.8949 dilutedEPSGrowth: -49.3347
payoutRatio: 67.0020 epsBasic5YrAverage: 5.4380
dividendsPS5YrAverage: 3.1560 freeCashFlowPerShare: 2.5741
revenuesPerShareGrowth: 4.8644 cashFlowPerShareGrowth: 41.3779
sharesOutstanding: 1252500000.0000 sharesOutstandingDiluted: 1257900000.0000
dividendYieldRegular: 3.7593 dividendPSRegular: 3.3300
dividendCover: 1.4925 dividend3YearAnnualizedGrowth: 2.7469
dividend5YearAnnualizedGrowth: 2.3836 freeFloat: 88.7000
currency: EUR
year: 2022 currencyID: 1
marketCapTotal: 123333675000.0000 priceEarningsRatioCompany: 19.8129
priceCashFlowRatio: 11.7215 dividendYield: 3.3817
bookValuePerShare: 54.8351 marketCap: 123333675000.0000
earningsYield: 5.0472 pegRatio: -0.4012
cashFlowPerShare: 8.4008 netAssetsPerShare: 54.8351
priceBookValueRatio: 1.7957 priceEarningsRatio: 19.8190
netEarningsPerShare: 4.9685 revenuesPerShare: 30.1485
liquidAssetsPerShare: 8.0623 priceSalesRatio: 3.2662
marketCapToEBITDAratio: 12.7070 marketCapPerEmployee: 1292236.9083
pegRatioII: -0.4010 pegRatioIII: -0.4010
earningsYieldII: 5.0457 earningsYieldIII: 5.0457
freeFloatMarketCap: 109396969725.0000 freeFloatMarketCapTotal: 109396969725.0000
marketCapTotalPerEmployee: 1292236.9083 dividendYieldRegular: 3.3817
currency: EUR

Finanzen (ausführlich)

year: 2020
currencyID: 1
units: 1000000
balanceSheetTotal: 114529.0000
cash: 13915.0000
currentAssets: 33703.0000
fixedAssets: 80743.0000
otherAssets: 83.0000
liabilities: 19248.0000
nonCurrentLiabilities: 32102.0000
totalLiabilitiesEquity: 114529.0000
otherLiabilities: 32.0000
provisions: 1770.0000
totalShareholdersEquity: 63001.0000
employees: 99412
property: 9365.0000
intangibleAssets: 18421.0000
longTermInvestments: 0.0000
inventories: 8352.0000
accountsReceivable: 7491.0000
accountsPayable: 5295.0000
liabilitiesTotal: 51382.0000
minorityInterests: 146.0000
sales: 36041.0000
depreciation: 1681.0000
netIncome: 12314.0000
operatingResult: 14141.0000
ebitda: 15822.0000
incomeInterest: -337.0000
investments: 5529.0000
incomeTaxes: 1813.0000
personnelCosts: 9076.0000
costGoodsSold: 12157.0000
grossProfit: 25212.0000
minorityInterestsProfit: -36.0000
revenuePerEmployee: 362541.7455
cashFlow: 7449.0000
cashFlowInvesting: 3588.0000
cashFlowFinancing: -6485.0000
cashFlowTotal: 4488.0000
accountingStandard: IFRS
equityRatio: 55.0088
debtEquityRatio: 81.7892
liquidityI: 72.2932
liquidityII: 111.2116
netMargin: 34.1666
grossMargin: 69.9537
cashFlowMargin: 20.6681
ebitMargin: 39.2359
ebitdaMargin: 43.9000
preTaxROE: 21.9108
preTaxROA: 12.0528
roe: 19.5457
roa: 10.7519
netIncomeGrowth: 338.8453
revenuesGrowth: -0.2353
taxExpenseRate: 13.1339
equityTurnover: 0.5721
epsBasic: 9.8200
epsDiluted: 9.7700
epsBasicGrowth: 338.3929
shareCapital: 2518.0000
incomeBeforeTaxes: 13804.0000
fiscalYearBegin: 01.01.2020 00:00
fiscalYearEnd: 31.12.2020 00:00
tradeAccountsReceivables: 7491.0000
otherReceivablesAssets: 3945.0000
otherNonCurrentAssets: 4180.0000
deferredTaxAssets: 4212.0000
capitalReserves: 60408.0000
netIncomeBalanceSheet: 0.0000
longTermProvisions: 1770.0000
longTermDeferredTaxLiabilities: 1770.0000
otherNonCurrentLiabilities: 10587.0000
otherCurrentLiabilities: 11186.0000
debtTotal: 19745.0000
provisionsForTaxes: 1770.0000
otherOperatingIncome: 696.0000
salesMarketingCosts: 9390.0000
otherOperatingExpenses: 1415.0000
amortization: 1681.0000
interest: 53.0000
interestExpenses: 390.0000
netFinancialIncome: 0.0000
operatingIncomeBeforeTaxes: 13804.0000
extraordinaryIncomeLoss: 0.0000
incomeAfterTaxes: 11991.0000
incomeContinuingOperations: 12314.0000
dividendsPaid: 3937.0000
cashAtYearEnd: 13915.0000
ownStocks: -705.0000
intensityOfInvestments: 70.5000
intensityOfCapitalExpenditure: -0.0031
intensityOfPPEInvestments: 8.1770
intensityOfCapitalInvestments: 0.0000
intensityOfCurrentAssets: 29.4275
intensityOfLiquidAssets: 12.1498
debtRatio: 44.9912
provisionsRatio: 1.5455
fixedToCurrentAssetsRatio: 239.5721
dynamicDebtEquityRatioI: 691.7439
liquidityIIICurrentRatio: 175.0987
equityToFixedAssetsRatioI: 78.0266
bookValue: 2502.0254
personnelExpensesRate: 25.1824
costsOfMaterialsRate: 0.0000
researchAndDevCostsRate: 15.3409
interestExpensesRate: 1.0821
totalCapitalTurnover: 0.3147
fixedAssetsTurnover: 0.4464
inventoryTurnover: 4.3153
personnelExpensesPerEmployee: 91296.8253
netIncomePerEmployee: 123868.3459
totalAssetsPerEmployee: 1152064.1371
netIncomeInPercentOfPersonnelExpenses: 135.6765
preTaxMargin: 38.3008
employeesGrowth: -0.9929
grossProfitGrowth: -1.7268
ebitGrowth: 352.5120
calcEBITDA: 16234.0000
liquidAssetsGrowth: 47.6079
cashFlowGrowthRate: -3.8094
marketCapTotal: 98658320000.0000
freeFloatMarketCapTotal: 87509929840.0000
marketCapTotalPerEmployee: 992418.6215
roi: 1075.1862
freeFloatTotal: 88.7000
netDebtI: 5830.0000
netDebtII: 37613.0000
priceEarningsRatioCompany: 8.0143
priceCashFlowRatio: 13.2445
dividendYield: 4.0661
bookValuePerShare: 50.2561
marketCap: 98658320000.0000
earningsYield: 12.4778
pegRatio: 0.0237
cashFlowPerShare: 5.9421
netAssetsPerShare: 50.3725
priceBookValueRatio: 1.5660
dividendsPerShare: 3.2000
priceEarningsRatio: 8.0119
netEarningsPerShare: 9.8229
revenuesPerShare: 28.7500
liquidAssetsPerShare: 11.1000
netEPSGrowthII: 337.5501
dividendGrowth: 1.5873
bookValuePerShareGrowth: 6.5854
priceSalesRatio: 2.7374
marketCapToEBITDAratio: 6.2355
marketCapPerEmployee: 992418.6215
pegRatioII: 0.0237
pegRatioIII: 0.0249
earningsYieldII: 12.4815
earningsYieldIII: 12.4815
freeFloatMarketCap: 87509929840.0000
priceEPSDiluted: 8.0553
dilutedEPSGrowth: 338.1166
payoutRatio: 32.5866
epsBasic5YrAverage: 5.1760
dividendsPS5YrAverage: 3.0820
freeCashFlowPerShare: 8.8042
revenuesPerShareGrowth: -0.5297
cashFlowPerShareGrowth: -4.0933
sharesOutstanding: 1253600000.0000
sharesOutstandingDiluted: 1260100000.0000
dividendYieldRegular: 4.0661
dividendPSRegular: 3.2000
dividendCover: 3.0688
dividend3YearAnnualizedGrowth: 1.8363
dividend5YearAnnualizedGrowth: 1.7786
freeFloat: 88.7000
currency: EUR
year: 2021
currencyID: 1
units: 1000000
balanceSheetTotal: 120242.0000
cash: 10098.0000
currentAssets: 30564.0000
fixedAssets: 89589.0000
otherAssets: 89.0000
liabilities: 21295.0000
nonCurrentLiabilities: 29916.0000
totalLiabilitiesEquity: 120242.0000
otherLiabilities: 0.0000
provisions: 1617.0000
totalShareholdersEquity: 68681.0000
employees: 95442
property: 10028.0000
intangibleAssets: 21407.0000
longTermInvestments: 0.0000
inventories: 8715.0000
accountsReceivable: 7568.0000
accountsPayable: 6180.0000
liabilitiesTotal: 51211.0000
minorityInterests: 350.0000
sales: 37761.0000
depreciation: 1580.0000
netIncome: 6223.0000
operatingResult: 8126.0000
ebitda: 9706.0000
incomeInterest: -328.0000
investments: 5692.0000
incomeTaxes: 1558.0000
personnelCosts: 9340.0000
costGoodsSold: 12255.0000
grossProfit: 26920.0000
minorityInterestsProfit: -56.0000
revenuePerEmployee: 395643.4274
cashFlow: 10522.0000
cashFlowInvesting: -7298.0000
cashFlowFinancing: -7056.0000
cashFlowTotal: -3817.0000
accountingStandard: IFRS
equityRatio: 57.1190
debtEquityRatio: 75.0732
liquidityI: 47.4196
liquidityII: 82.9584
netMargin: 16.4800
grossMargin: 71.2905
cashFlowMargin: 27.8647
ebitMargin: 21.5196
ebitdaMargin: 25.7038
preTaxROE: 11.3539
preTaxROA: 6.4853
roe: 9.0607
roa: 5.1754
netIncomeGrowth: -49.4640
revenuesGrowth: 4.7723
taxExpenseRate: 19.9795
equityTurnover: 0.5498
epsBasic: 4.9700
epsDiluted: 4.9500
epsBasicGrowth: -49.3890
shareCapital: 2527.0000
incomeBeforeTaxes: 7798.0000
fiscalYearBegin: 01.01.2021 00:00
fiscalYearEnd: 31.12.2021 00:00
tradeAccountsReceivables: 7568.0000
otherReceivablesAssets: 4183.0000
otherNonCurrentAssets: 5250.0000
deferredTaxAssets: 4598.0000
capitalReserves: 63545.0000
netIncomeBalanceSheet: 0.0000
longTermProvisions: 1617.0000
longTermDeferredTaxLiabilities: 1617.0000
otherNonCurrentLiabilities: 11176.0000
otherCurrentLiabilities: 11932.0000
debtTotal: 17123.0000
provisionsForTaxes: 1617.0000
otherOperatingIncome: 859.0000
salesMarketingCosts: 9555.0000
amortization: 1580.0000
interest: 40.0000
interestExpenses: 368.0000
netFinancialIncome: 0.0000
operatingIncomeBeforeTaxes: 7798.0000
extraordinaryIncomeLoss: 0.0000
incomeAfterTaxes: 6240.0000
incomeContinuingOperations: 6223.0000
dividendsPaid: 4008.0000
cashAtYearEnd: 10098.0000
ownStocks: -939.0000
intensityOfInvestments: 74.5072
intensityOfCapitalExpenditure: 0.0055
intensityOfPPEInvestments: 8.3398
intensityOfCapitalInvestments: 0.0000
intensityOfCurrentAssets: 25.4187
intensityOfLiquidAssets: 8.3981
debtRatio: 42.8810
provisionsRatio: 1.3448
fixedToCurrentAssetsRatio: 293.1194
dynamicDebtEquityRatioI: 490.0304
liquidityIIICurrentRatio: 143.5266
equityToFixedAssetsRatioI: 76.6623
bookValue: 2717.8868
personnelExpensesRate: 24.7345
costsOfMaterialsRate: 0.0000
researchAndDevCostsRate: 15.0738
interestExpensesRate: 0.9746
totalCapitalTurnover: 0.3140
fixedAssetsTurnover: 0.4215
inventoryTurnover: 4.3329
personnelExpensesPerEmployee: 97860.4807
netIncomePerEmployee: 65201.9027
totalAssetsPerEmployee: 1259843.6747
netIncomeInPercentOfPersonnelExpenses: 66.6274
preTaxMargin: 20.6509
employeesGrowth: -3.9935
grossProfitGrowth: 6.7746
ebitGrowth: -42.5359
calcEBITDA: 9785.0000
liquidAssetsGrowth: -27.4308
cashFlowGrowthRate: 41.2539
marketCapTotal: 110946450000.0000
freeFloatMarketCapTotal: 98409501150.0000
marketCapTotalPerEmployee: 1162448.9219
roi: 517.5396
freeFloatTotal: 88.7000
netDebtI: 7025.0000
netDebtII: 41463.0000
priceEarningsRatioCompany: 17.8229
priceCashFlowRatio: 10.5442
dividendYield: 3.7593
bookValuePerShare: 54.8351
marketCap: 110946450000.0000
earningsYield: 5.6107
pegRatio: -0.3609
cashFlowPerShare: 8.4008
netAssetsPerShare: 55.1146
priceBookValueRatio: 1.6154
dividendsPerShare: 3.3300
priceEarningsRatio: 17.8285
netEarningsPerShare: 4.9685
revenuesPerShare: 30.1485
liquidAssetsPerShare: 8.0623
netEPSGrowthII: -49.4196
dividendGrowth: 4.0625
bookValuePerShareGrowth: 9.1115
priceSalesRatio: 2.9381
marketCapToEBITDAratio: 11.4307
marketCapPerEmployee: 1162448.9219
pegRatioII: -0.3608
pegRatioIII: -0.3608
earningsYieldII: 5.6090
earningsYieldIII: 5.6090
freeFloatMarketCap: 98409501150.0000
priceEPSDiluted: 17.8949
dilutedEPSGrowth: -49.3347
payoutRatio: 67.0020
epsBasic5YrAverage: 5.4380
dividendsPS5YrAverage: 3.1560
freeCashFlowPerShare: 2.5741
revenuesPerShareGrowth: 4.8644
cashFlowPerShareGrowth: 41.3779
sharesOutstanding: 1252500000.0000
sharesOutstandingDiluted: 1257900000.0000
dividendYieldRegular: 3.7593
dividendPSRegular: 3.3300
dividendCover: 1.4925
dividend3YearAnnualizedGrowth: 2.7469
dividend5YearAnnualizedGrowth: 2.3836
freeFloat: 88.7000
currency: EUR
year: 2022
currencyID: 1
marketCapTotal: 123333675000.0000
priceEarningsRatioCompany: 19.8129
priceCashFlowRatio: 11.7215
dividendYield: 3.3817
bookValuePerShare: 54.8351
marketCap: 123333675000.0000
earningsYield: 5.0472
pegRatio: -0.4012
cashFlowPerShare: 8.4008
netAssetsPerShare: 54.8351
priceBookValueRatio: 1.7957
priceEarningsRatio: 19.8190
netEarningsPerShare: 4.9685
revenuesPerShare: 30.1485
liquidAssetsPerShare: 8.0623
priceSalesRatio: 3.2662
marketCapToEBITDAratio: 12.7070
marketCapPerEmployee: 1292236.9083
pegRatioII: -0.4010
pegRatioIII: -0.4010
earningsYieldII: 5.0457
earningsYieldIII: 5.0457
freeFloatMarketCap: 109396969725.0000
freeFloatMarketCapTotal: 109396969725.0000
marketCapTotalPerEmployee: 1292236.9083
dividendYieldRegular: 3.3817
currency: EUR