MwanzoPHH2 • FRA
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Paul Hartmann AG
Bei iliyotangulia
€ 248.00
Bei za siku
€ 247.00 - € 247.00
Bei za mwaka
€ 183.00 - € 258.00
Thamani ya kampuni katika soko
886.26M EUR
Wastani wa hisa zilizouzwa
28.00
Uwiano wa bei na mapato
8.09
Mgao wa faida
3.24%
Ubadilishanaji wa msingi
FRA
Habari za soko
Fedha
Taarifa ya Mapato
Mapato
Mapato halisi
(EUR) | Des 2024info | Mabadiliko Tangu Mwaka Uliopita |
---|---|---|
Mapato | 615.18M | 2.34% |
Matumizi ya uendeshaji wa biashara | 322.09M | 1.54% |
Mapato halisi | 32.83M | 292.40% |
Kiwango cha faida halisi | 5.34 | 284.17% |
Mapato kwa kila hisa | — | — |
EBITDA | 24.37M | 1,358.78% |
Asilimia ya kodi ya mapato | -13.20% | — |
Taarifa ya Hali ya Kifedha
Jumla ya mali
Jumla ya dhima
(EUR) | Des 2024info | Mabadiliko Tangu Mwaka Uliopita |
---|---|---|
Uwekezaji wa pesa taslimu na vipindi vifupi | 160.91M | 10.87% |
Jumla ya mali | 2.10B | 5.59% |
Jumla ya dhima | 901.80M | 3.51% |
Jumla ya hisa | 1.20B | — |
hisa zilizosalia | 3.55M | — |
Uwiano wa bei na thamani | 0.77 | — |
Faida inayotokana na mali | 2.19% | — |
Faida inayotokana mtaji | 3.09% | — |
Mtiririko wa pesa
Mabadiliko halisi ya pesa taslimu
(EUR) | Des 2024info | Mabadiliko Tangu Mwaka Uliopita |
---|---|---|
Mapato halisi | 32.83M | 292.40% |
Pesa kutokana na shughuli | 59.55M | -33.72% |
Pesa kutokana na uwekezaji | -52.05M | -53.86% |
Pesa kutokana na ufadhili | -13.74M | 53.68% |
Mabadiliko halisi ya pesa taslimu | -6.33M | -123.32% |
Mtiririko huru wa pesa | -41.01M | 2.54% |
Kuhusu
The Hartmann Group, headquartered in Heidenheim, Baden-Württemberg, Germany, is a manufacturer of medical and care products, as well as a provider of associated services. The company primarily operates in three core segments: Wound Care; Incontinence Management; and Infection Management.
In 2024, the company achieved a revenue of €2.41 billion and employed 10,079 people. Wikipedia
Ilianzishwa
1818
Tovuti
Wafanyakazi
10,079