Sanofi S.A.

BIT:1SAN

Francia / Sanità / Farmaceutici

Conto Economico
Stato patrimoniale
Rendiconto dei flussi di cassa
Riconcilizazione EBITDA
Riconciliazione reddito netto
Previsioni
Rapporti di valutazione
Anno fiscale
Semestri fiscali
Trimestri fiscali
Ascendente
Discendente
3 anni
5 Anni
10 anni
Milioni
Miliardi
Migliaia
Unità
Size standard
Size comune
Tasso crescita
2019-12-31
FY-4
2020-12-31
FY-3
2021-12-31
FY-2
2022-12-31
FY-1
2023-12-31
FY
Caricamento dati view...
Liquidità ed equivalenti
9.427,0
13.915,0
10.098,0
12.736,0
8.710,0
Investimenti a breve termine
-
-
-
-
-
Netto crediti
7.937,0
7.491,0
7.568,0
8.424,0
8.433,0
Scorte
7.994,0
8.352,0
8.715,0
8.960,0
9.666,0
Spese prepagate
493,0
525,0
615,0
714,0
768,0
Altri asset attuali
3.085,0
3.503,0
3.657,0
3.277,0
3.093,0
Totale asset attuali
28.936,0
33.786,0
30.653,0
34.111,0
30.670,0
Immobilizzazioni nette, impianti e attrezzature
11.017,0
10.563,0
11.976,0
11.684,0
11.814,0
Capitale immobiliare
-
-
-
-
-
Software capitalizzati / acquistati
536,0
520,0
515,0
487,0
456,0
Investimenti a lungo termine
5.266,0
2.105,0
2.422,0
2.765,0
2.666,0
Avviamento
44.519,0
44.364,0
48.056,0
49.892,0
49.404,0
Altri intangibili
14.175,0
12.249,0
13.677,0
15.414,0
18.281,0
Altri asset a lungo termine
8.181,0
10.826,0
12.943,0
12.369,0
13.173,0
Asset totali
112.630,0
114.413,0
120.242,0
126.722,0
126.464,0
Conti pagabili
5.313,0
5.295,0
6.180,0
6.813,0
7.328,0
Spese accumulate
2.339,0
2.389,0
2.554,0
2.578,0
2.501,0
Prestiti a breve termine
307,0
285,0
189,0
164,0
203,0
Quota corrente del debito a lungo termine
4.249,0
2.482,0
2.995,0
4.010,0
1.843,0
Quota corrente degli obblighi di leasing di capitale
261,0
232,0
269,0
277,0
275,0
Altre passività correnti
7.918,0
8.597,0
9.108,0
10.132,0
12.057,0
Totale passività correnti
20.387,0
19.280,0
21.295,0
23.974,0
24.207,0
Debito a lungo termine
20.131,0
19.745,0
17.123,0
14.857,0
14.347,0
Leasing di capitale
987,0
931,0
1.839,0
1.904,0
1.755,0
Altre passività non-correnti
11.895,0
11.205,0
10.954,0
10.835,0
11.802,0
Totale Passività
53.400,0
51.161,0
51.211,0
51.570,0
52.111,0
Azioni ordinarie
2.508,0
2.518,0
2.527,0
2.522,0
2.530,0
Capitale aggiuntivo versato
147,0
362,0
532,0
125,0
313,0
Utili trattenuti
-
-
-
-
-
Azioni proprie
-9,0
-705,0
-939,0
-706,0
-1.184,0
Altre agg. capitale sociale
56.410,0
60.931,0
66.561,0
72.843,0
72.381,0
Capitale sociale
59.056,0
63.106,0
68.681,0
74.784,0
74.040,0
Totale azioni privilegiate
-
-
-
-
-
Interessi di minoranza, totale
174,0
146,0
350,0
368,0
313,0
Altro azione
0,0
0,0
0,0
0,0
0,0
Totale Patrimonio netto
59.230,0
63.252,0
69.031,0
75.152,0
74.353,0
Totale Passività e capitale
112.630,0
114.413,0
120.242,0
126.722,0
126.464,0
Liquidità e investimenti a breve termine
9.431,0
13.915,0
10.109,0
12.736,0
8.710,0
Total Debt
25.935,0
23.675,0
22.415,0
21.212,0
18.423,0
FY-4FY-3FY-2FY-1FY01234
EUR in Milioni eccetto per dati sulle azioni. Tutti i diritti riservati. Termini d’uso
Italiano

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