Wskaźniki zadłużenia BMW
319.00-5.90(-1.82%)TENDENCJE POZYTYWNE
Zadłużenie ogólne: spadek o 3.36% r/r |
Zadłużenie kapitału własnego: spadek o 9.85% r/r |
Zadłużenie długoterminowe: spadek o 17.01% r/r |
Zadłużenie środków trwałych: wzrost o 14.29% r/r |
Zastosowanie kapitału obcego: spadek o 5.10% r/r |
Zadłużenie netto / EBITDA: spadek o 22.28% r/r |
Zadłużenie finansowe netto / EBITDA: spadek o 30.96% r/r |
2010/Q4 (gru 10) | 2011/Q4 (gru 11) | 2012/Q1 (mar 12) | 2012/Q2 (cze 12) | 2012/Q3 (wrz 12) | 2012/Q4 (gru 12) | 2013/Q1 (mar 13) | 2013/Q2 (cze 13) | 2013/Q3 (wrz 13) | 2013/Q4 (gru 13) | 2014/Q1 (mar 14) | 2014/Q2 (cze 14) | 2014/Q3 (wrz 14) | 2014/Q4 (gru 14) | 2015/Q1 (mar 15) | 2015/Q2 (cze 15) | 2015/Q3 (wrz 15) | 2015/Q4 (gru 15) | 2016/Q1 (mar 16) | 2016/Q2 (cze 16) | 2016/Q3 (wrz 16) | 2016/Q4 (gru 16) | 2017/Q1 (mar 17) | 2017/Q2 (cze 17) | 2017/Q3 (wrz 17) | 2017/Q4 (gru 17) | 2018/Q1 (mar 18) | 2018/Q2 (cze 18) | 2018/Q3 (wrz 18) | 2018/Q4 (gru 18) | 2019/Q1 (mar 19) | 2019/Q2 (cze 19) | 2019/Q3 (wrz 19) | 2019/Q4 (gru 19) | 2020/Q1 (mar 20) | 2020/Q2 (cze 20) | 2020/Q3 (wrz 20) | 2020/Q4 (gru 20) | 2021/Q1 (mar 21) | 2021/Q2 (cze 21) | 2021/Q3 (wrz 21) | 2021/Q4 (gru 21) | 2022/Q1 (mar 22) | 2022/Q2 (cze 22) | 2022/Q3 (wrz 22) | 2022/Q4 (gru 22) | 2023/Q1 (mar 23) | ||
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Zadłużenie ogólne | 0.78 | 0.78 r/r -0.31% | 0.77 k/k -1.05% | 0.78 k/k +1.36% | 0.78 k/k -0.40% | 0.77 r/r -1.61% k/k -1.51% | 0.76 r/r -1.10% k/k -0.53% | 0.76 r/r -3.03% k/k -0.62% | 0.75 r/r -3.57% k/k -0.95% | 0.74 r/r -3.27% k/k -1.21% | 0.74 r/r -3.37% k/k -0.63% | 0.75 r/r -1.36% k/k +1.45% | 0.75 r/r +0.29% k/k +0.71% | 0.76 r/r +2.09% k/k +0.56% | 0.78 r/r +6.03% k/k +3.20% | 0.77 r/r +2.30% k/k -2.12% | 0.75 r/r -0.09% k/k -1.65% | 0.75 r/r -0.87% k/k -0.23% | 0.74 r/r -5.20% k/k -1.30% | 0.76 r/r -1.16% k/k +2.05% | 0.75 r/r -0.27% k/k -0.75% | 0.75 r/r -0.37% k/k -0.33% | 0.74 r/r -0.08% k/k -1.01% | 0.73 r/r -3.25% k/k -1.19% | 0.72 r/r -4.05% k/k -1.57% | 0.72 r/r -4.10% k/k -0.39% | 0.71 r/r -3.93% k/k -0.84% | 0.72 r/r -1.26% k/k +1.56% | 0.72 r/r -0.24% k/k -0.55% | 0.72 r/r +0.54% k/k +0.39% | 0.74 r/r +3.43% k/k +2.01% | 0.74 r/r +2.31% k/k +0.46% | 0.74 r/r +3.41% k/k +0.51% | 0.74 r/r +2.12% k/k -0.86% | 0.73 r/r -0.81% k/k -0.92% | 0.74 r/r -0.22% k/k +1.07% | 0.73 r/r -2.18% k/k -1.46% | 0.72 r/r -2.88% k/k -1.57% | 0.71 r/r -3.15% k/k -1.20% | 0.69 r/r -6.83% k/k -2.77% | 0.68 r/r -6.87% k/k -1.51% | 0.67 r/r -6.06% k/k -0.71% | 0.64 r/r -9.19% k/k -4.49% | 0.65 r/r -5.49% k/k +1.18% | 0.65 r/r -4.52% k/k -0.49% | 0.63 r/r -6.30% k/k -2.57% | 0.62 r/r -3.36% k/k -1.49% | |
Zadłużenie kapitału własnego | 3.61 | 3.56 r/r -1.24% | 3.40 k/k -4.61% | 3.62 k/k +6.38% | 3.55 k/k -1.79% | 3.32 r/r -6.83% k/k -6.51% | 3.25 r/r -4.40% k/k -2.12% | 3.16 r/r -12.46% k/k -2.58% | 3.04 r/r -14.26% k/k -3.82% | 2.90 r/r -12.56% k/k -4.65% | 2.83 r/r -12.87% k/k -2.47% | 2.99 r/r -5.38% k/k +5.79% | 3.08 r/r +1.29% k/k +2.97% | 3.15 r/r +8.65% k/k +2.27% | 3.62 r/r +27.96% k/k +14.87% | 3.29 r/r +9.90% k/k -9.15% | 3.07 r/r -0.42% k/k -6.69% | 3.04 r/r -3.50% k/k -0.90% | 2.89 r/r -20.24% k/k -5.05% | 3.13 r/r -4.84% k/k +8.39% | 3.04 r/r -1.11% k/k -3.03% | 3.00 r/r -1.51% k/k -1.30% | 2.88 r/r -0.32% k/k -3.90% | 2.75 r/r -12.17% k/k -4.50% | 2.60 r/r -14.26% k/k -5.34% | 2.57 r/r -14.33% k/k -1.38% | 2.49 r/r -13.37% k/k -2.84% | 2.64 r/r -4.14% k/k +5.68% | 2.58 r/r -0.74% k/k -1.98% | 2.62 r/r +2.10% k/k +1.45% | 2.82 r/r +13.16% k/k +7.69% | 2.87 r/r +8.90% k/k +1.70% | 2.93 r/r +13.36% k/k +2.03% | 2.83 r/r +8.11% k/k -3.25% | 2.74 r/r -3.02% k/k -3.39% | 2.85 r/r -0.73% k/k +4.10% | 2.70 r/r -7.93% k/k -5.38% | 2.55 r/r -10.10% k/k -5.53% | 2.44 r/r -10.72% k/k -4.06% | 2.23 r/r -21.90% k/k -8.94% | 2.12 r/r -21.33% k/k -4.68% | 2.08 r/r -18.51% k/k -2.14% | 1.91 r/r -22.05% k/k -8.22% | 1.97 r/r -11.29% k/k +3.63% | 1.95 r/r -8.02% k/k -1.17% | 1.79 r/r -13.96% k/k -8.46% | 1.72 r/r -9.85% k/k -3.84% | |
Zadłużenie długoterminowe | 1.93 | 1.82 r/r -5.81% | 1.83 k/k +0.83% | 1.84 k/k +0.28% | 1.84 k/k -0.06% | 1.73 r/r -4.63% k/k -5.63% | 1.71 r/r -6.51% k/k -1.16% | 1.69 r/r -8.06% k/k -1.37% | 1.57 r/r -14.28% k/k -6.82% | 1.46 r/r -15.82% k/k -7.32% | 1.49 r/r -12.76% k/k +2.43% | 1.57 r/r -6.74% k/k +5.42% | 1.63 r/r +3.81% k/k +3.72% | 1.57 r/r +7.39% k/k -4.13% | 1.80 r/r +20.61% k/k +15.05% | 1.60 r/r +1.80% k/k -11.02% | 1.50 r/r -7.88% k/k -6.14% | 1.50 r/r -4.18% k/k -0.27% | 1.45 r/r -19.33% k/k -3.14% | 1.64 r/r +2.54% k/k +13.11% | 1.65 r/r +9.69% k/k +0.40% | 1.55 r/r +3.53% k/k -5.88% | 1.46 r/r +0.64% k/k -5.84% | 1.45 r/r -12.03% k/k -1.13% | 1.35 r/r -18.24% k/k -6.70% | 1.29 r/r -16.87% k/k -4.29% | 1.20 r/r -17.99% k/k -7.12% | 1.36 r/r -5.95% k/k +13.40% | 1.36 r/r +0.90% k/k +0.10% | 1.39 r/r +7.60% k/k +2.06% | 1.48 r/r +23.42% k/k +6.54% | 1.52 r/r +11.93% k/k +2.84% | 1.53 r/r +12.30% k/k +0.43% | 1.44 r/r +3.72% k/k -5.74% | 1.41 r/r -4.49% k/k -1.89% | 1.51 r/r -0.93% k/k +6.68% | 1.40 r/r -8.61% k/k -7.36% | 1.37 r/r -5.22% k/k -2.25% | 1.28 r/r -9.51% k/k -6.33% | 1.15 r/r -23.95% k/k -10.35% | 1.09 r/r -21.94% k/k -4.91% | 1.05 r/r -23.29% k/k -3.93% | 0.95 r/r -25.49% k/k -9.02% | 0.96 r/r -16.15% k/k +0.88% | 0.90 r/r -17.63% k/k -6.58% | 0.82 r/r -22.00% k/k -9.03% | 0.79 r/r -17.01% k/k -3.21% | |
Zadłużenie środków trwałych | 0.66 | 0.71 r/r +7.04% | 0.66 k/k -6.68% | 0.70 k/k +6.35% | 0.68 k/k -2.77% | 0.72 r/r +1.00% k/k +4.67% | 0.71 r/r +7.05% k/k -1.09% | 0.71 r/r +1.65% k/k +0.99% | 0.75 r/r +9.38% k/k +4.62% | 0.80 r/r +11.17% k/k +6.38% | 0.76 r/r +7.23% k/k -4.59% | 0.75 r/r +5.20% k/k -0.92% | 0.75 r/r -0.21% k/k -0.77% | 0.81 r/r +2.11% k/k +8.86% | 0.77 r/r +1.52% k/k -5.15% | 0.82 r/r +8.50% k/k +5.89% | 0.82 r/r +10.14% k/k +0.74% | 0.83 r/r +1.71% k/k +0.52% | 0.80 r/r +3.30% k/k -3.67% | 0.73 r/r -10.28% k/k -8.03% | 0.23 r/r -72.33% k/k -68.93% | 0.25 r/r -70.30% k/k +7.92% | 0.25 r/r -69.17% k/k 0.00% | 0.24 r/r -67.19% k/k -2.12% | 0.25 r/r +10.20% k/k +4.33% | 0.26 r/r +7.70% k/k +5.47% | 0.27 r/r +9.25% k/k +1.44% | 0.24 r/r +0.96% k/k -9.55% | 0.24 r/r -3.23% k/k 0.00% | 0.25 r/r -6.32% k/k +2.10% | 0.26 r/r -3.17% k/k +4.85% | 0.72 r/r +196.25% k/k +176.73% | 0.72 r/r +197.73% k/k +0.50% | 0.77 r/r +211.07% k/k +6.68% | 0.77 r/r +195.18% k/k -0.51% | 0.74 r/r +2.76% k/k -3.67% | 0.76 r/r +5.58% k/k +3.26% | 0.77 r/r -0.34% k/k +0.70% | 0.78 r/r +1.80% k/k +1.63% | 0.83 r/r +11.83% k/k +5.82% | 0.84 r/r +9.72% k/k +1.32% | 0.86 r/r +12.15% k/k +2.93% | 0.92 r/r +17.82% k/k +6.76% | 0.93 r/r +13.05% k/k +1.53% | 0.98 r/r +17.11% k/k +4.96% | 1.05 r/r +22.24% k/k +7.44% | 1.05 r/r +14.29% k/k -0.19% | |
Pokrycie aktywów trwałych kapitałami stałymi | 1.04 | 1.02 r/r -2.05% | 1.09 k/k +6.57% | 1.01 k/k -7.13% | 1.04 k/k +2.50% | 1.02 r/r +0.17% k/k -1.26% | 1.04 r/r -4.25% k/k +1.87% | 1.05 r/r +3.33% k/k +0.22% | 1.04 r/r -0.13% k/k -0.94% | 1.01 r/r -1.45% k/k -2.57% | 1.05 r/r +1.03% k/k +4.45% | 1.04 r/r -0.98% k/k -1.78% | 1.03 r/r -0.63% k/k -0.58% | 0.98 r/r -3.47% k/k -5.35% | 0.95 r/r -9.94% k/k -2.56% | 0.95 r/r -8.76% k/k -0.49% | 0.96 r/r -6.90% k/k +1.45% | 0.96 r/r -1.15% k/k +0.50% | 0.99 r/r +4.55% k/k +3.05% | 1.01 r/r +7.18% k/k +2.01% | 1.03 r/r +7.53% k/k +1.78% | 0.99 r/r +2.58% k/k -4.12% | 0.99 r/r -0.63% k/k -0.18% | 1.01 r/r +0.16% k/k +2.83% | 1.02 r/r -0.93% k/k +0.67% | 1.02 r/r +2.88% k/k -0.43% | 1.02 r/r +2.91% k/k -0.16% | 1.06 r/r +4.27% k/k +4.18% | 1.10 r/r +7.26% k/k +3.56% | 1.10 r/r +7.80% k/k +0.06% | 1.08 r/r +6.51% k/k -1.35% | 1.08 r/r +2.42% k/k +0.18% | 1.08 r/r -1.63% k/k -0.54% | 1.05 r/r -3.88% k/k -2.22% | 1.08 r/r -0.26% k/k +2.36% | 1.08 r/r -0.02% k/k +0.43% | 1.07 r/r -0.45% k/k -0.96% | 1.07 r/r +1.36% k/k -0.45% | 1.07 r/r -0.54% k/k +0.45% | 1.06 r/r -2.20% k/k -1.25% | 1.06 r/r -0.89% k/k +0.36% | 1.06 r/r -0.55% k/k -0.10% | 1.05 r/r -1.77% k/k -0.78% | 1.04 r/r -1.64% k/k -1.12% | 1.03 r/r -3.39% k/k -1.43% | 1.02 r/r -3.67% k/k -0.39% | 1.05 r/r -0.61% k/k +2.37% | |
Trwałość struktury finansowania | 0.64 | 0.62 r/r -2.91% | 0.64 k/k +4.28% | 0.61 k/k -4.54% | 0.62 k/k +1.38% | 0.63 r/r +2.45% k/k +1.51% | 0.64 r/r -0.90% k/k +0.87% | 0.64 r/r +4.98% k/k +1.13% | 0.64 r/r +2.07% k/k -1.43% | 0.63 r/r -0.47% k/k -1.02% | 0.65 r/r +1.98% k/k +3.35% | 0.64 r/r -0.17% k/k -1.00% | 0.64 r/r +1.32% k/k +0.05% | 0.62 r/r -1.92% k/k -4.19% | 0.61 r/r -6.91% k/k -1.90% | 0.61 r/r -5.87% k/k +0.10% | 0.61 r/r -4.58% k/k +1.42% | 0.62 r/r +0.11% k/k +0.52% | 0.63 r/r +4.08% k/k +1.99% | 0.64 r/r +5.50% k/k +1.46% | 0.66 r/r +6.72% k/k +2.60% | 0.64 r/r +3.29% k/k -2.71% | 0.63 r/r +0.62% k/k -0.64% | 0.65 r/r +1.92% k/k +2.78% | 0.65 r/r -0.79% k/k -0.14% | 0.64 r/r +0.45% k/k -1.49% | 0.63 r/r -0.96% k/k -2.04% | 0.65 r/r -0.61% k/k +3.14% | 0.66 r/r +1.03% k/k +1.51% | 0.66 r/r +2.70% k/k +0.14% | 0.65 r/r +3.07% k/k -1.69% | 0.65 r/r +0.40% k/k +0.46% | 0.64 r/r -2.31% k/k -1.23% | 0.64 r/r -3.51% k/k -1.09% | 0.64 r/r -0.46% k/k +1.42% | 0.65 r/r -0.05% k/k +0.88% | 0.65 r/r +0.72% k/k -0.48% | 0.66 r/r +4.69% k/k +2.81% | 0.66 r/r +2.44% k/k -0.77% | 0.66 r/r +2.12% k/k +0.58% | 0.67 r/r +3.23% k/k +0.60% | 0.66 r/r -0.21% k/k -0.61% | 0.66 r/r -0.17% k/k -0.72% | 0.65 r/r -2.67% k/k -1.94% | 0.63 r/r -5.72% k/k -2.55% | 0.64 r/r -3.35% k/k +1.89% | 0.65 r/r -1.72% k/k +0.95% | |
Zastosowanie kapitału obcego | 2.00 | 1.97 r/r -1.64% | 1.88 k/k -4.16% | 1.99 k/k +5.58% | 1.95 k/k -2.04% | 2.00 r/r +1.91% k/k +2.81% | 1.96 r/r +4.11% k/k -2.09% | 1.98 r/r -0.57% k/k +0.83% | 1.94 r/r -0.25% k/k -1.72% | 1.97 r/r -1.69% k/k +1.33% | 1.92 r/r -1.94% k/k -2.34% | 1.98 r/r -0.04% k/k +2.79% | 2.01 r/r +3.50% k/k +1.76% | 2.06 r/r +4.83% k/k +2.63% | 2.16 r/r +12.10% k/k +4.43% | 2.13 r/r +7.89% k/k -1.08% | 2.10 r/r +4.26% k/k -1.67% | 2.09 r/r +1.37% k/k -0.21% | 2.03 r/r -5.91% k/k -3.07% | 2.05 r/r -3.86% k/k +1.07% | 2.06 r/r -1.61% k/k +0.63% | 2.11 r/r +0.87% k/k +2.32% | 2.07 r/r +2.15% k/k -1.85% | 2.05 r/r -0.24% k/k -1.29% | 1.99 r/r -3.79% k/k -2.95% | 1.94 r/r -8.07% k/k -2.23% | 1.87 r/r -10.00% k/k -3.91% | 1.86 r/r -8.89% k/k -0.07% | 1.80 r/r -9.47% k/k -3.57% | 1.81 r/r -6.93% k/k +0.51% | 1.83 r/r -1.71% k/k +1.49% | 1.85 r/r -0.78% k/k +0.87% | 1.84 r/r +2.35% k/k -0.52% | 1.86 r/r +2.70% k/k +0.85% | 1.81 r/r -1.12% k/k -2.29% | 1.84 r/r -0.25% k/k +1.75% | 1.83 r/r -0.47% k/k -0.74% | 1.90 r/r +2.23% k/k +3.58% | 1.84 r/r +1.35% k/k -3.13% | 1.84 r/r -0.23% k/k +0.17% | 1.82 r/r -0.59% k/k -1.09% | 1.79 r/r -5.52% k/k -1.55% | 1.71 r/r -6.77% k/k -4.41% | 1.71 r/r -7.09% k/k -0.18% | 1.67 r/r -8.24% k/k -2.31% | 1.69 r/r -5.79% k/k +1.07% | 1.63 r/r -5.10% k/k -3.71% | |
Wskaźnik ogólnej sytuacji finansowej | 0.71 | 0.71 r/r +0.17% | 0.73 k/k +1.60% | 0.71 k/k -2.12% | 0.71 k/k +0.45% | 0.75 r/r +5.24% k/k +5.36% | 0.76 r/r +4.08% k/k +0.48% | 0.77 r/r +8.39% k/k +1.93% | 0.78 r/r +9.76% k/k +1.71% | 0.81 r/r +7.68% k/k +3.36% | 0.81 r/r +7.75% k/k +0.54% | 0.80 r/r +3.35% k/k -2.22% | 0.79 r/r +0.51% k/k -1.08% | 0.78 r/r -3.05% k/k -0.30% | 0.73 r/r -10.14% k/k -6.81% | 0.77 r/r -2.64% k/k +5.94% | 0.80 r/r +2.05% k/k +3.68% | 0.81 r/r +2.83% k/k +0.46% | 0.82 r/r +12.32% k/k +1.80% | 0.79 r/r +1.46% k/k -4.31% | 0.80 r/r -0.02% k/k +2.16% | 0.82 r/r +1.34% k/k +1.83% | 0.83 r/r +1.12% k/k +1.58% | 0.85 r/r +7.99% k/k +2.19% | 0.86 r/r +7.52% k/k +1.72% | 0.86 r/r +5.39% k/k -0.19% | 0.86 r/r +3.70% k/k -0.06% | 0.84 r/r -1.54% k/k -2.97% | 0.83 r/r -3.39% k/k -0.19% | 0.83 r/r -3.81% k/k -0.61% | 0.80 r/r -7.17% k/k -3.55% | 0.79 r/r -4.92% k/k -0.63% | 0.78 r/r -6.00% k/k -1.32% | 0.80 r/r -3.37% k/k +2.17% | 0.81 r/r +1.34% k/k +1.15% | 0.80 r/r +0.29% k/k -1.65% | 0.82 r/r +4.54% k/k +2.86% | 0.86 r/r +6.92% k/k +4.49% | 0.86 r/r +6.75% k/k +0.99% | 0.91 r/r +14.00% k/k +5.02% | 0.93 r/r +12.97% k/k +1.94% | 0.93 r/r +8.55% k/k +0.40% | 0.92 r/r +6.87% k/k -0.57% | 0.91 r/r +0.01% k/k -1.72% | 0.90 r/r -2.39% k/k -0.51% | 0.95 r/r +2.26% k/k +5.18% | 0.95 r/r +2.86% k/k +0.01% | |
Zadłużenie netto | 299 161 062 000 | 374 540 223 200 | 346 240 958 400 | 368 981 705 700 | 367 354 112 400 | 360 771 385 400 | 376 784 770 400 | 385 541 235 200 | 379 277 266 500 | 371 369 318 400 | 379 771 837 200 | 397 544 868 700 | 420 410 217 500 | 444 532 316 200 | 479 071 329 000 | 475 254 880 800 | 477 991 160 600 | 497 112 498 000 | 494 541 092 400 | 541 659 072 500 | 531 337 576 000 | 558 428 248 000 | 539 324 198 400 | 521 326 095 500 | 522 038 846 800 | 508 562 007 900 | 519 627 703 500 | 566 427 907 200 | 553 804 095 600 | 572 923 400 000 | 618 148 425 600 | 616 314 644 000 | 653 791 969 600 | 639 354 156 000 | 665 072 820 800 | 635 176 850 000 | 624 639 551 600 | 629 887 896 400 | 640 162 109 500 | 603 486 112 800 | 596 249 597 100 | 609 816 048 400 | 628 864 467 500 | 644 649 676 800 | 676 410 350 200 | 626 589 399 600 | 614 122 249 500 | |
Zadłużenie netto / EBITDA | 8.42 | 7.27 r/r -13.71% | 6.84 k/k -5.85% | 7.37 k/k +7.76% | 7.35 k/k -0.35% | 7.34 r/r +1.09% k/k -0.02% | 7.57 r/r +10.65% k/k +3.05% | 7.87 r/r +6.72% k/k +3.93% | 7.71 r/r +4.92% k/k -2.03% | 7.58 r/r +3.24% k/k -1.61% | 7.56 r/r -0.09% k/k -0.28% | 7.64 r/r -2.88% k/k +1.03% | 7.71 r/r +0.01% k/k +0.89% | 7.76 r/r +2.34% k/k +0.67% | 8.19 r/r +8.37% k/k +5.60% | 8.10 r/r +6.01% k/k -1.17% | 8.04 r/r +4.29% k/k -0.74% | 8.17 r/r +5.28% k/k +1.63% | 8.12 r/r -0.93% k/k -0.62% | 8.61 r/r +6.34% k/k +6.08% | 1.92 r/r -76.14% k/k -77.73% | 8.78 r/r +7.43% k/k +357.53% | 9.39 r/r +15.65% k/k +6.99% | 9.08 r/r +5.43% k/k -3.29% | -3.33 r/r -273.47% k/k -136.65% | 8.29 r/r -5.49% k/k +349.26% | 8.28 r/r -11.76% k/k -0.11% | 9.00 r/r -0.92% k/k +8.59% | 9.12 r/r +374.17% k/k +1.40% | 9.36 r/r +12.87% k/k +2.61% | 11.65 r/r +40.67% k/k +24.50% | 12.06 r/r +34.05% k/k +3.47% | 11.92 r/r +30.64% k/k -1.18% | 11.18 r/r +19.45% k/k -6.18% | 10.67 r/r -8.44% k/k -4.56% | 12.60 r/r +4.49% k/k +18.09% | 12.64 r/r +6.04% k/k +0.29% | 12.44 r/r +11.29% k/k -1.53% | 11.05 r/r +3.54% k/k -11.21% | 7.19 r/r -42.93% k/k -34.91% | 6.65 r/r -47.37% k/k -7.51% | 6.66 r/r -46.44% k/k +0.20% | 6.68 r/r -39.58% k/k +0.16% | 7.11 r/r -1.11% k/k +6.55% | 6.90 r/r +3.81% k/k -2.92% | 5.92 r/r -11.15% k/k -14.25% | 5.19 r/r -22.28% k/k -12.38% | |
Zadłużenie finansowe netto | 217 503 636 300 | 265 895 776 800 | 240 149 289 600 | 261 422 232 400 | 254 685 358 000 | 249 940 283 400 | 261 079 145 200 | 268 483 996 400 | 259 011 525 300 | 162 835 660 800 | 260 180 666 200 | 274 041 034 900 | 286 217 998 500 | 310 981 670 300 | 341 717 730 000 | 343 659 775 200 | 344 886 404 800 | 364 618 201 500 | 354 537 572 400 | 384 677 736 500 | 377 347 432 000 | 397 500 824 000 | 380 917 126 200 | 370 816 204 000 | 367 497 284 400 | 357 066 578 100 | 358 913 505 500 | 388 339 417 600 | 380 620 182 600 | 398 257 400 000 | 424 959 837 400 | 427 666 160 000 | 452 361 448 000 | 445 881 984 000 | 479 011 215 200 | 446 126 604 000 | 426 641 846 400 | 428 433 417 200 | 428 542 546 800 | 407 315 038 400 | 402 510 984 900 | 402 235 927 600 | 390 716 950 000 | 391 892 596 200 | 395 174 530 400 | 362 651 207 400 | 338 950 372 500 | |
Zadłużenie finansowe netto / EBITDA | 6.12 | 5.16 r/r -15.74% | 4.74 k/k -8.02% | 5.22 k/k +10.08% | 5.09 k/k -2.49% | 5.09 r/r -1.35% k/k -0.09% | 5.24 r/r +10.54% k/k +3.07% | 5.48 r/r +4.89% k/k +4.45% | 5.26 r/r +3.35% k/k -3.92% | 3.32 r/r -34.66% k/k -36.83% | 5.18 r/r -1.22% k/k +55.82% | 5.27 r/r -3.86% k/k +1.66% | 5.25 r/r -0.30% k/k -0.36% | 5.43 r/r +63.27% k/k +3.45% | 5.84 r/r +12.83% k/k +7.68% | 5.86 r/r +11.20% k/k +0.19% | 5.80 r/r +10.53% k/k -0.96% | 5.99 r/r +10.38% k/k +3.31% | 5.82 r/r -0.43% k/k -2.87% | 6.12 r/r +4.44% k/k +5.08% | 1.36 r/r -76.51% k/k -77.73% | 6.25 r/r +4.25% k/k +358.57% | 6.63 r/r +13.94% k/k +6.16% | 6.46 r/r +5.60% k/k -2.61% | -2.34 r/r -271.95% k/k -136.27% | 5.82 r/r -6.78% k/k +348.60% | 5.72 r/r -13.71% k/k -1.73% | 6.17 r/r -4.50% k/k +7.78% | 6.27 r/r +367.66% k/k +1.65% | 6.51 r/r +11.75% k/k +3.78% | 8.01 r/r +40.01% k/k +23.13% | 8.37 r/r +35.67% k/k +4.44% | 8.25 r/r +31.52% k/k -1.46% | 7.80 r/r +19.83% k/k -5.44% | 7.69 r/r -4.08% k/k -1.44% | 8.85 r/r +5.77% k/k +15.16% | 8.63 r/r +4.68% k/k -2.48% | 8.46 r/r +8.55% k/k -1.94% | 7.40 r/r -3.76% k/k -12.62% | 4.85 r/r -45.16% k/k -34.37% | 4.49 r/r -47.98% k/k -7.50% | 4.40 r/r -48.06% k/k -2.10% | 4.15 r/r -43.92% k/k -5.65% | 4.32 r/r -10.93% k/k +4.25% | 4.03 r/r -10.16% k/k -6.70% | 3.43 r/r -22.04% k/k -15.05% | 2.86 r/r -30.96% k/k -16.44% |
Wartości dla sektora obliczane są w oparciu o medianę.
Informacje
ISIN: | DE0005190003 |
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Liczba akcji: | 657 600 600 |
Kapitalizacja: | 209 774 591 400 |
Enterprise Value: | 548 724 963 900 |
Branża: | Przemysł elektromaszynowy |
Bayerische Motoren Werke AG jest niemieckim producentem samochodów i motocykli. Dzielą swoją działalność na cztery segmenty: samochody, motocykle,... Bayerische Motoren Werke AG jest niemieckim producentem samochodów i motocykli. Dzielą swoją działalność na cztery segmenty: samochody, motocykle, usługi finansowe i inne podmioty. Segment motoryzacyjny opracowuje, produkuje, montuje i sprzedaje samochody i pojazdy terenowe pod markami BMW, MINI i Rolls-Royce, a także części zamienne i akcesoria. Segment motocykli opracowuje, produkuje, montuje i sprzedaje motocykle, a także części zamienne i akcesoria. Segment usług finansowych koncentruje się na leasingu samochodów, finansowaniu wielu marek, biznesie flotowym, finansowaniu klientów detalicznych i dealerów, biznesie depozytów klientów i działalności ubezpieczeniowej. Segment Pozostałe jednostki obejmuje inne spółki operacyjne, takie jak BMW Services Ltd, BMW (UK) Investments Ltd, Bavaria Lloyd Reisebuero GmbH i MITEC Mikroelektronik Mikrotechnik Informatik.
Nazwa: | BMW |
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Adres: | Petuelring 130, 80-788, Munich, Deutschland |
CEO: | Oliver Zipse |
Telefon: | +49 (0) 893 82-0 |
WWW: | http://www.bmwgroup.com/ |