EVONIK INDUSTRIES NA O.N.

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Firmenbeschreibung

Die Evonik Industries AG zählt zu den weltweit führenden Unternehmen im Bereich Spezialchemie. Das Unternehmen ist in einer Vielzahl von Märkten und Anwendungsgebieten tätig und produziert chemische Produkte und Systemlösungen für Konsumgüter, die pharmazeutische Gesundheitsversorgung, Tierernährung, den Energiemarkt, die internationale Kunststoff- und Gummiindustrie und Hightech-Anwendungen auf chemischer, thermischer und mechanischer Basis. Die Produkte des Unternehmens finden sich unter anderem in Hygieneartikeln, Solaranwendungen, Verpackungen, Halbleiterelektronik, Batterien, Baumaterialien, Farben und Lacken oder Pflanzenschutzmitteln wieder.

KeyData

endOfFinancialYear: 31.12.2022 00:00
stockholderStructure: RAG-Stiftung (67.91%),Freefloat (22.97%),BlackRock, Inc. (3.08%),AVGP Limited (3.03%),The Capital Group Companies, Inc. (3.01%)
sharesOutstanding: 466000000.0000
ceo: Christian Kullmann
board: Ute Wolf, Dr. Harald Schwager, Thomas Wessel
supervisoryBoard: Bernd Tönjes, Edeltraud Glänzer, Angela Titzrath, Anke Strüber-Hummelt, Dr. Siegfried Luther, Dr. Thomas Sauer, Dr. Volker Trautz, Frank Löllgen, Hussin El Moussaoui, Jens Barnhusen, Karin Erhard, Martin Albers, Martin Kubessa, Martina Reisch, Michael Rüdiger, Peter Spuhler, Prof. Dr. Aldo Belloni, Prof. Dr. Barbara Grunewald, Professor Dr. Barbara Albert, Ulrich Weber
countryID: 2
freeFloat: 22.9700
faceValue: 1.0000
faceValueCurrencyID: 1
faceValueCurrency: EUR
sectorName: Chemie
industryName: Rohstoffe
country: Deutschland
countryName: Deutschland

Kontakt

name: Tim Lange
phone: +49-201-177-3150
fax: +49-201-177-3140
irWebSite: https://corporate.evonik.de/de/investor-relations

Adresse

street: Rellinghauser Straße 1-11
city: D-45128 Essen
phone: +49-201-177-01
fax: +49-201-177-3475
webSite: corporate.evonik.de/
email: info@evonik.com

Finanzen (kurz)

year: 2019 cash: 1165.0000
balanceSheetTotal: 22023.0000 liabilities: 12963.0000
totalShareholdersEquity: 9060.0000 sales: 13108.0000
investment: 104.0000 incomeBeforeTaxes: 954.0000
netIncome: 2106.0000 cashFlow: 173.0000
employees: 32423 currencyID: 1
units: 1000000 currency: EUR
year: 2020 cash: 563.0000
balanceSheetTotal: 20897.0000 liabilities: 12798.0000
totalShareholdersEquity: 8099.0000 sales: 12199.0000
investment: 48.0000 incomeBeforeTaxes: 684.0000
netIncome: 465.0000 cashFlow: -577.0000
employees: 33106 currencyID: 1
units: 1000000 currency: EUR
year: 2021 cash: 456.0000
balanceSheetTotal: 22284.0000 liabilities: 12912.0000
totalShareholdersEquity: 9372.0000 sales: 14955.0000
investment: 64.0000 incomeBeforeTaxes: 1085.0000
netIncome: 746.0000 cashFlow: -111.0000
employees: 33004 currencyID: 1
units: 1000000 currency: EUR

Finanzen (kurz)

year: 2019
cash: 1165.0000
balanceSheetTotal: 22023.0000
liabilities: 12963.0000
totalShareholdersEquity: 9060.0000
sales: 13108.0000
investment: 104.0000
incomeBeforeTaxes: 954.0000
netIncome: 2106.0000
cashFlow: 173.0000
employees: 32423
currencyID: 1
units: 1000000
currency: EUR
year: 2020
cash: 563.0000
balanceSheetTotal: 20897.0000
liabilities: 12798.0000
totalShareholdersEquity: 8099.0000
sales: 12199.0000
investment: 48.0000
incomeBeforeTaxes: 684.0000
netIncome: 465.0000
cashFlow: -577.0000
employees: 33106
currencyID: 1
units: 1000000
currency: EUR
year: 2021
cash: 456.0000
balanceSheetTotal: 22284.0000
liabilities: 12912.0000
totalShareholdersEquity: 9372.0000
sales: 14955.0000
investment: 64.0000
incomeBeforeTaxes: 1085.0000
netIncome: 746.0000
cashFlow: -111.0000
employees: 33004
currencyID: 1
units: 1000000
currency: EUR

Finanzen (ausführlich)

year: 2020 units: 1000000
balanceSheetTotal: 20897.0000 cash: 563.0000
currentAssets: 4963.0000 fixedAssets: 15934.0000
liabilities: 2926.0000 nonCurrentLiabilities: 9872.0000
totalLiabilitiesEquity: 20897.0000 provisions: 2045.0000
totalShareholdersEquity: 8099.0000 employees: 33106
property: 6588.0000 intangibleAssets: 5877.0000
longTermInvestments: 682.0000 inventories: 1806.0000
accountsReceivable: 1455.0000 accountsPayable: 1273.0000
liabilitiesBanks: 3998.0000 liabilitiesTotal: 12798.0000
longTermDebt: 3564.0000 shortTermDebt: 434.0000
minorityInterests: 87.0000 sales: 12199.0000
netIncome: 465.0000 operatingResult: 819.0000
incomeInterest: -123.0000 investments: 433.0000
incomeTaxes: 181.0000 personnelCosts: 3168.0000
costGoodsSold: 8833.0000 grossProfit: 3366.0000
minorityInterestsProfit: -14.0000 revenuePerEmployee: 368483.0544
cashFlow: 1727.0000 cashFlowInvesting: -570.0000
cashFlowFinancing: -1734.0000 cashFlowTotal: -577.0000
accountingStandard: IFRS equityRatio: 38.7568
debtEquityRatio: 158.0195 liquidityI: 19.2413
liquidityII: 68.9679 netMargin: 3.8118
grossMargin: 27.5924 cashFlowMargin: 14.1569
ebitMargin: 6.7137 ebitdaMargin: 0.0000
preTaxROE: 8.4455 preTaxROA: 3.2732
roe: 5.7414 roa: 2.2252
netIncomeGrowth: -77.9202 revenuesGrowth: -6.9347
taxExpenseRate: 26.4620 equityTurnover: 1.5062
epsBasic: 1.0000 epsDiluted: 1.0000
epsBasicGrowth: -77.8761 shareCapital: 466.0000
incomeBeforeTaxes: 684.0000 priceEarningsRatioCompany: 26.6800
priceCashFlowRatio: 7.1991 dividendYield: 4.3103
bookValuePerShare: 17.3798 marketCap: 12432880000.0000
earningsYield: 3.7481 pegRatio: -0.3426
cashFlowPerShare: 3.7060 netAssetsPerShare: 17.5665
priceBookValueRatio: 1.5351 dividendsPerShare: 1.1500
priceEarningsRatio: 26.7374 netEarningsPerShare: 0.9979
currency: EUR
year: 2021 units: 1000000
balanceSheetTotal: 22284.0000 cash: 456.0000
currentAssets: 6110.0000 fixedAssets: 16174.0000
liabilities: 3992.0000 nonCurrentLiabilities: 8920.0000
totalLiabilitiesEquity: 22284.0000 provisions: 2177.0000
totalShareholdersEquity: 9372.0000 employees: 33004
property: 6963.0000 intangibleAssets: 6045.0000
longTermInvestments: 662.0000 inventories: 2548.0000
accountsReceivable: 1954.0000 accountsPayable: 2022.0000
liabilitiesBanks: 4008.0000 liabilitiesTotal: 12912.0000
longTermDebt: 3531.0000 shortTermDebt: 477.0000
minorityInterests: 83.0000 sales: 14955.0000
netIncome: 746.0000 operatingResult: 1173.0000
incomeInterest: -65.0000 investments: 464.0000
incomeTaxes: 316.0000 personnelCosts: 3408.0000
costGoodsSold: 10925.0000 grossProfit: 4030.0000
minorityInterestsProfit: -21.0000 revenuePerEmployee: 453126.8937
cashFlow: 1815.0000 cashFlowInvesting: -1070.0000
cashFlowFinancing: -856.0000 cashFlowTotal: -111.0000
accountingStandard: IFRS equityRatio: 42.0571
debtEquityRatio: 137.7721 liquidityI: 11.4228
liquidityII: 60.3707 netMargin: 4.9883
grossMargin: 26.9475 cashFlowMargin: 12.1364
ebitMargin: 7.8435 ebitdaMargin: 0.0000
preTaxROE: 11.5770 preTaxROA: 4.8690
roe: 7.9599 roa: 3.3477
netIncomeGrowth: 60.4301 revenuesGrowth: 22.5920
taxExpenseRate: 29.1244 equityTurnover: 1.5957
epsBasic: 1.6000 epsDiluted: 1.6000
epsBasicGrowth: 60.0000 shareCapital: 466.0000
incomeBeforeTaxes: 1085.0000 priceEarningsRatioCompany: 17.7937
priceCashFlowRatio: 7.3097 dividendYield: 4.1096
bookValuePerShare: 20.1116 marketCap: 13267020000.0000
earningsYield: 5.6200 pegRatio: 0.2966
cashFlowPerShare: 3.8948 netAssetsPerShare: 20.2897
priceBookValueRatio: 1.4156 dividendsPerShare: 1.1700
priceEarningsRatio: 17.7842 netEarningsPerShare: 1.6009
currency: EUR
year: 2022 priceEarningsRatioCompany: 11.9750
priceCashFlowRatio: 4.9193 dividendYield: 6.1065
bookValuePerShare: 20.1116 marketCap: 8928560000.0000
earningsYield: 8.3507 pegRatio: 0.1996
cashFlowPerShare: 3.8948 netAssetsPerShare: 20.1116
priceBookValueRatio: 0.9527 priceEarningsRatio: 11.9686
netEarningsPerShare: 1.6009 currency: EUR

Finanzen (ausführlich)

year: 2020
units: 1000000
balanceSheetTotal: 20897.0000
cash: 563.0000
currentAssets: 4963.0000
fixedAssets: 15934.0000
liabilities: 2926.0000
nonCurrentLiabilities: 9872.0000
totalLiabilitiesEquity: 20897.0000
provisions: 2045.0000
totalShareholdersEquity: 8099.0000
employees: 33106
property: 6588.0000
intangibleAssets: 5877.0000
longTermInvestments: 682.0000
inventories: 1806.0000
accountsReceivable: 1455.0000
accountsPayable: 1273.0000
liabilitiesBanks: 3998.0000
liabilitiesTotal: 12798.0000
longTermDebt: 3564.0000
shortTermDebt: 434.0000
minorityInterests: 87.0000
sales: 12199.0000
netIncome: 465.0000
operatingResult: 819.0000
incomeInterest: -123.0000
investments: 433.0000
incomeTaxes: 181.0000
personnelCosts: 3168.0000
costGoodsSold: 8833.0000
grossProfit: 3366.0000
minorityInterestsProfit: -14.0000
revenuePerEmployee: 368483.0544
cashFlow: 1727.0000
cashFlowInvesting: -570.0000
cashFlowFinancing: -1734.0000
cashFlowTotal: -577.0000
accountingStandard: IFRS
equityRatio: 38.7568
debtEquityRatio: 158.0195
liquidityI: 19.2413
liquidityII: 68.9679
netMargin: 3.8118
grossMargin: 27.5924
cashFlowMargin: 14.1569
ebitMargin: 6.7137
ebitdaMargin: 0.0000
preTaxROE: 8.4455
preTaxROA: 3.2732
roe: 5.7414
roa: 2.2252
netIncomeGrowth: -77.9202
revenuesGrowth: -6.9347
taxExpenseRate: 26.4620
equityTurnover: 1.5062
epsBasic: 1.0000
epsDiluted: 1.0000
epsBasicGrowth: -77.8761
shareCapital: 466.0000
incomeBeforeTaxes: 684.0000
priceEarningsRatioCompany: 26.6800
priceCashFlowRatio: 7.1991
dividendYield: 4.3103
bookValuePerShare: 17.3798
marketCap: 12432880000.0000
earningsYield: 3.7481
pegRatio: -0.3426
cashFlowPerShare: 3.7060
netAssetsPerShare: 17.5665
priceBookValueRatio: 1.5351
dividendsPerShare: 1.1500
priceEarningsRatio: 26.7374
netEarningsPerShare: 0.9979
currency: EUR
year: 2021
units: 1000000
balanceSheetTotal: 22284.0000
cash: 456.0000
currentAssets: 6110.0000
fixedAssets: 16174.0000
liabilities: 3992.0000
nonCurrentLiabilities: 8920.0000
totalLiabilitiesEquity: 22284.0000
provisions: 2177.0000
totalShareholdersEquity: 9372.0000
employees: 33004
property: 6963.0000
intangibleAssets: 6045.0000
longTermInvestments: 662.0000
inventories: 2548.0000
accountsReceivable: 1954.0000
accountsPayable: 2022.0000
liabilitiesBanks: 4008.0000
liabilitiesTotal: 12912.0000
longTermDebt: 3531.0000
shortTermDebt: 477.0000
minorityInterests: 83.0000
sales: 14955.0000
netIncome: 746.0000
operatingResult: 1173.0000
incomeInterest: -65.0000
investments: 464.0000
incomeTaxes: 316.0000
personnelCosts: 3408.0000
costGoodsSold: 10925.0000
grossProfit: 4030.0000
minorityInterestsProfit: -21.0000
revenuePerEmployee: 453126.8937
cashFlow: 1815.0000
cashFlowInvesting: -1070.0000
cashFlowFinancing: -856.0000
cashFlowTotal: -111.0000
accountingStandard: IFRS
equityRatio: 42.0571
debtEquityRatio: 137.7721
liquidityI: 11.4228
liquidityII: 60.3707
netMargin: 4.9883
grossMargin: 26.9475
cashFlowMargin: 12.1364
ebitMargin: 7.8435
ebitdaMargin: 0.0000
preTaxROE: 11.5770
preTaxROA: 4.8690
roe: 7.9599
roa: 3.3477
netIncomeGrowth: 60.4301
revenuesGrowth: 22.5920
taxExpenseRate: 29.1244
equityTurnover: 1.5957
epsBasic: 1.6000
epsDiluted: 1.6000
epsBasicGrowth: 60.0000
shareCapital: 466.0000
incomeBeforeTaxes: 1085.0000
priceEarningsRatioCompany: 17.7937
priceCashFlowRatio: 7.3097
dividendYield: 4.1096
bookValuePerShare: 20.1116
marketCap: 13267020000.0000
earningsYield: 5.6200
pegRatio: 0.2966
cashFlowPerShare: 3.8948
netAssetsPerShare: 20.2897
priceBookValueRatio: 1.4156
dividendsPerShare: 1.1700
priceEarningsRatio: 17.7842
netEarningsPerShare: 1.6009
currency: EUR
year: 2022
priceEarningsRatioCompany: 11.9750
priceCashFlowRatio: 4.9193
dividendYield: 6.1065
bookValuePerShare: 20.1116
marketCap: 8928560000.0000
earningsYield: 8.3507
pegRatio: 0.1996
cashFlowPerShare: 3.8948
netAssetsPerShare: 20.1116
priceBookValueRatio: 0.9527
priceEarningsRatio: 11.9686
netEarningsPerShare: 1.6009
currency: EUR