TuisPHH2 • FRA
add
Paul Hartmann AG
Vorige sluiting
€221,00
Dagwisseling
€222,00 - €222,00
Jaarwisseling
€195,50 - €258,00
Markkapitalisasie
793,08 m EUR
Gemiddelde volume
45,00
P/V-verhouding
9,68
Dividend-opbrengs
3,60%
Primêre beurs
FRA
Marknuus
Finansieel
Inkomstestaat
Inkomste
Netto inkomste
(EUR) | Jun. 2025info | J/J-verandering |
---|---|---|
Inkomste | 607,00 m | 1,55% |
Bedryfskoste | 346,60 m | 7,81% |
Netto inkomste | 7,93 m | -62,96% |
Netto winsgrens | 1,31 | -63,41% |
Wins per aandeel | — | — |
EBITDA | 48,84 m | -20,42% |
Effektiewe belastingkoers | 50,31% | — |
Balansstaat
Totale bates
Totale aanspreeklikheid
(EUR) | Jun. 2025info | J/J-verandering |
---|---|---|
Kontant en korttermynbeleggings | — | — |
Totale bates | 2,15 mjd | 5,30% |
Totale aanspreeklikheid | 978,01 m | 7,26% |
Totale ekwiteit | 1,17 mjd | — |
Uitstaande aandele | 3,55 m | — |
Prys om te bespreek | 0,70 | — |
Opbrengs op bates | 2,58% | — |
Opbrengs op kapitaal | 3,57% | — |
Kontantvloei
Netto kontantverandering
(EUR) | Jun. 2025info | J/J-verandering |
---|---|---|
Netto inkomste | 7,93 m | -62,96% |
Kontant van bedrywe | 7,86 m | -80,25% |
Kontant van beleggings | -23,11 m | -4,32% |
Kontant van finansiering | 13,04 m | 710,87% |
Netto kontantverandering | -2,28 m | -116,00% |
Beskikbare kontantvloei | 38,04 m | -16,79% |
Meer oor
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
Gestig
1818
Webwerf
Werknemers
10 082