Financial figures

                                        Overview of DSM's latest financial key figures

                                        Overview as at Q1 2019

                                        Presented below are DSM's net sales from continuing operations, adjusted net earnings per ordinary share, balance sheet, income statement and finally, cash flow statement, as at Q1 2019.

                                        Net sales (continuing operations) in € million

                                        Year Q1 Q2 Q3 Q4 Total
                                        2019 2,292 2,276 ? ? ?
                                        2018 2,435 2,359 2,265 2,208 9,267
                                        2017 2,159 2,161 2,136 2,176 8,632
                                        2016 1,913 1,994 1,998 2,015 7,920
                                        2015 1,886 1,754 2,102 1,926 7,722
                                        2014 2,298 2,288 2,323 2,175 9,181
                                        2013 2,376 2,468 2,397 2,377 9,618
                                        2012 2,290 2,268 2,304 2,269 9,131
                                        2011 2,234 2,265 2,322 2,227 9,048
                                        2010 1,933 2,120 2,041 2,082 8,176
                                        2009 1,578 1,664 1,725 1,758 6,725
                                        2008 2,303 2,406 2,336 2,034 9,079

                                        Adjusted net earnings per ordinary share (continuing operations)

                                        Year Q1 Q2 Q3 Q4 Total
                                        2019 1.12 1.20 ? ? ?
                                        2018 1.91 1.73 1.18 1.02 5.84
                                        2017 0.92 0.98 0.91 1.11 3.92
                                        2016 0.60 0.76 0.81 0.73 2.90
                                        2015 0.39 0.63 0.59 0.53 2.14
                                        2014 0.57 0.64 0.69 0.52 2.42
                                        2013 0.70 0.79 0.76 0.58 2.84
                                        2012 0.87 0.67 0.61 0.43 2.58
                                        2011 0.91 0.97 0.94 0.71 3.53
                                        2010 0.70 0.92 0.76 0.63 2.89
                                        2009 0.05 0.22 0.53 0.56 1.44
                                        2008 0.81 1.00 0.97 0.25 3.04

                                        Balance sheet

                                        Assets?in € million 30 Jun 2019 Year-end?2018
                                        Intangible Assets 3,233 3,090
                                        Property, Plant & Equipment 3,764 3,511
                                        Deferred Tax Assets 215 248
                                        Share in Associates & Joint Ventures 152 205
                                        Financial derivatives 12 14
                                        Other Financial Assets 259 263
                                        Non-Current Assets 7,635 7,331
                                        Inventories 2,071 1,993
                                        Trade Receivables 1,742 1,575
                                        Income tax receivables 78 83
                                        Other Current Receivables 56 80
                                        Financial Derivatives 33 21
                                        Current Investments 1,149 1,277
                                        Cash & Cash Equivalents 1,137 1,281
                                        Current Assets 6,266 6,310
                                        Total Assets 13,901 13,641
                                        Equity & Liabilities in € million 30 Jun 2019 Year-end?2018
                                        Shareholders' Equity 7,786 7,782
                                        Non-controlling interest 54 33
                                        Equity 7,840 7,815
                                        Deferred Tax Liabilities 248 254
                                        Employee Benefits Liabilities 458 413
                                        Provisions 108 116
                                        Borrowings 2,432 2,272
                                        Financial derivatives 4 3
                                        Other Non-current Liabilities 116 197
                                        Non-current liabilities 3,366 3,255
                                        Employee Benefits 46 46
                                        Provisions 41 37
                                        Borrowings 438 380
                                        Financial Derivatives 46 51
                                        Trade Payables 1,452 1,430
                                        Income tax payable 88 100
                                        Other Current Liabilities 584 527
                                        Current Liabilities 2,695 2,571
                                        Total Equity and Liabilities 13,901 13,641
                                        Net debt 589 113
                                        Equity/Total Assets 56% 57%

                                        Income statement

                                        Condensed consolidated statement of income H1 2019

                                        In €?million H1 2019 H1 2018
                                        Sales 2,276 2,359
                                        EBITDA 407 503
                                        Operating profit (EBIT) 247 389
                                        Financial income and expense -28 -25
                                        Profit before income tax expense 219 364
                                        Income tax expense -36 -64
                                        Share of the profit of associates /joint control entities 22 2
                                        Net profit 205 302
                                        Of which: ? ?
                                        Profit attributable to non-controlling interests -1 -1
                                        Net profit attributable to equity holders of DSM 204 301
                                        Dividend on cumulative preference shares -2 -2
                                        Net profit available to holders of ordinary shares 202 299
                                        Depreciation and amortization 160 114

                                        Reconciliation to Alternative Performance Measures H1 2019

                                        In €?million H1 2019 H1 2018
                                        EBITDA 407 503
                                        Acquisitions/divestments 1 -4
                                        Restructuring 30 10
                                        Other 0 -1
                                        Sub-total APM adjustments to EBITDA 31 5
                                        Adjusted EBITDA 438 508
                                        Operating profit (EBIT) 247 389
                                        APM adjustments to EBITDA 31 5
                                        Impairments of PPE and Intangible assets 11 0
                                        Sub-total APM adjustments to operating profit (EBIT) 42 5
                                        Adjusted operating profit (EBIT) 289 394
                                        Net profit 205 302
                                        APM adjustments to operating profit (EBIT) 42 5
                                        APM adjustments to financial income and expense 0 0
                                        Income tax related to APM adjustments -11 -2
                                        APM adjustments to share of the profit of associates/ joint control entities -21 1
                                        Sub-total APM adjustments to net profit? 10 4
                                        Adjusted net profit 215 306
                                        ? ? ?
                                        Net profit available to holders of ordinary shares 202 299
                                        APM adjustments to net profit 10 4
                                        Adjusted net profit available to holders of?ordinary shares 212 303
                                        Average number of ordinary shares (million) 176.5 175.2
                                        Earnings per share (EPS) (in €): ? ?
                                        Net earnings per share 1.14 1.70
                                        Adjusted net earnings per share 1.20 1.73

                                        Cash flow statement

                                        Assets in € million H1 2019 H1?2018
                                        Cash, Cash Equivalents and Current Investments
                                        (at beginning of period)
                                        2,558 1,853
                                        Current Investments (at beginning of period) 1,277 954
                                        Cash & Cash Equivalents (at beginning of period) 1,281 899
                                        ? ? ?
                                        Operating Activities ? ?
                                        EBITDA 823 1,029
                                        Change in Working? Capital -239 -504
                                        Income Tax -51 -43
                                        Other -26 21
                                        Cash provided by Operating Activities (Operating cash flow) 507 503
                                        ? ? ?
                                        Investing Activities ? ?
                                        Capital Expenditures -269 -301
                                        Payment of lease liabilities* 0 -18
                                        Payments regarding drawing rights -4 -17
                                        Acquisitions -207 -2
                                        Disposal of Subsidiaries, Businesses & Associates 2 30
                                        Disposal of Other Non-current Assets 3 1
                                        Change in Fixed-term Deposits 128 -52
                                        Interest Received 5 9
                                        Dividend and capital (re)payments -12 -21
                                        Other 23 7
                                        Cash used in Investing Activities -331 -364
                                        Dividend -158 -139
                                        Interest Paid -31 -25
                                        Repurchase of shares -249 -137
                                        Proceeds from re-issued treasury shares 136 58
                                        Change in Commercial Paper ? ?
                                        Proceeds from / repayments of corporate bonds ? ?
                                        Payment of lease liabilities -26 0
                                        Other Cash from/ used in Financing Activities 11 33
                                        Cash from /used in Financing Activities -317 -210
                                        Exchange Differences -3 -15
                                        Cash and Cash Equivalents (end of period) 1,137 813
                                        Current Investment (end of period) 1,149 1,006
                                        Cash and Cash Equivalents & Current Investments (end of period) 2,286 1,819

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                                          DSM's ordinary shares, share performance, share listings, share structure, cumulative preference shares and shareholder base.

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