PNE AG NA O.N.

Bid 10,86 EUR
Ask 11,14 EUR

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Firmenbeschreibung

Die international tätige PNE-Gruppe ist ein Projektierer von Windparks an Land und auf See und ein „Clean Energy Solutions Provider“, ein Anbieter von Lösungen für saubere Energie. Realisiert wurden bisher Projekte mit mehr als 3.100 MW Nennleistung. Von der ersten Standorterkundung und der Durchführung der Genehmigungsverfahren, über die Finanzierung und die schlüsselfertige Errichtung bis zum Betrieb und dem Repowering umfasst das Leistungsspektrum alle Phasen der Projektierung und des Betriebs von Windparks. Neben der Windenergie sind Photovoltaik, Speicherung, Dienstleistungen und die Lieferung sauberen Stroms Teil des Angebotes. PNE beschäftigt sich dabei auch mit der Entwicklung von Power-to-X-Lösungen. Die Unternehmensgruppe ist derzeit in 13 Ländern auf vier Kontinenten tätig.

KeyData

endOfFinancialYear: 31.12.2022 00:00
stockholderStructure: Morgan Stanley (44.2%),Active Ownership Fund SCS (11.99%),Samson Rock (5.24%),ENKRAFT (4.96%),Goldman Sachs Group (3.04%)
sharesOutstanding: 76337000.0000
ceo: Markus Lesser
board: Jörg Klowat, Harald Wilbert
supervisoryBoard: Per Hornung Pedersen, Christoph Oppenauer, Alberto Donzelli, Dr. Susanna Zapreva, Marc van’t Noordende, Marcel Egger, Roberta Benedetti
countryID: 2
freeFloat: 34.0900
faceValue: 1.0000
faceValueCurrencyID: 1
faceValueCurrency: EUR
sectorName: Energieversorger
industryName: Energie und Versorger
subsectorName: Energieversorger
country: Deutschland
countryName: Deutschland

Kontakt

name: Christopher Rodler
phone: +49-4721-718-454
email: Christopher.Rodler@pnewind.com
irWebSite: https://goo.gl/K1mA1G

Adresse

street: Peter-Henlein-Str. 2-4
city: D-27472 Cuxhaven
phone: +49-4721-718-06
fax: +49-4721-718-444
webSite: www.pnewind.com
email: info@pnewind.com

Finanzen (kurz)

year: 2021 cash: 149.6000
balanceSheetTotal: 827.0000 liabilities: 605.2000
totalShareholdersEquity: 229.2000 sales: 117.7000
bankLoans: 32.7000 investment: 4.4000
incomeBeforeTaxes: 3.0000 netIncome: 25.1000
cashFlow: 53.8000 employees: 491
currencyID: 1 units: 1000000
currency: EUR
year: 2022 cash: 121.6000
balanceSheetTotal: 920.3000 liabilities: 920.3000
totalShareholdersEquity: 232.2000 sales: 126.2000
investment: 33.8000 incomeBeforeTaxes: 23.9000
netIncome: 14.9000 employees: 514
currencyID: 1 units: 1000000
currency: EUR
year: 2023 cash: 90.4000
balanceSheetTotal: 1100.6900 liabilities: 861.0000
totalShareholdersEquity: 240.7000 sales: 121.5300
investment: 11.8800 incomeBeforeTaxes: -8.5900
netIncome: -8.1700 employees: 629
currencyID: 1 units: 1000000
currency: EUR

Finanzen (kurz)

year: 2021
cash: 149.6000
balanceSheetTotal: 827.0000
liabilities: 605.2000
totalShareholdersEquity: 229.2000
sales: 117.7000
bankLoans: 32.7000
investment: 4.4000
incomeBeforeTaxes: 3.0000
netIncome: 25.1000
cashFlow: 53.8000
employees: 491
currencyID: 1
units: 1000000
currency: EUR
year: 2022
cash: 121.6000
balanceSheetTotal: 920.3000
liabilities: 920.3000
totalShareholdersEquity: 232.2000
sales: 126.2000
investment: 33.8000
incomeBeforeTaxes: 23.9000
netIncome: 14.9000
employees: 514
currencyID: 1
units: 1000000
currency: EUR
year: 2023
cash: 90.4000
balanceSheetTotal: 1100.6900
liabilities: 861.0000
totalShareholdersEquity: 240.7000
sales: 121.5300
investment: 11.8800
incomeBeforeTaxes: -8.5900
netIncome: -8.1700
employees: 629
currencyID: 1
units: 1000000
currency: EUR

Finanzen (ausführlich)

year: 2022 units: 1000000
balanceSheetTotal: 920.3000 cash: 121.6000
currentAssets: 334.9000 fixedAssets: 585.4000
liabilities: 139.8000 nonCurrentLiabilities: 547.8000
totalLiabilitiesEquity: 920.3000 provisions: 26.9000
totalShareholdersEquity: 232.2000 employees: 514
property: 353.8000 intangibleAssets: 0.5000
longTermInvestments: 14.2000 inventories: 147.4000
accountsReceivable: 38.2000 accountsPayable: 44.6000
liabilitiesTotal: 920.3000 longTermDebt: 530.6000
shortTermDebt: 42.2000 minorityInterests: -5.6000
sales: 126.2000 depreciation: 29.2000
netIncome: 14.9000 operatingResult: 6.2000
incomeInterest: 17.6000 incomeTaxes: 9.6000
costGoodsSold: 179.9000 grossProfit: -53.7000
minorityInterestsProfit: 0.8000 revenuePerEmployee: 245525.2918
cashFlow: -9.0000 cashFlowInvesting: -98.0000
cashFlowFinancing: 79.2000 accountingStandard: IFRS
equityRatio: 25.2309 debtEquityRatio: 296.3394
liquidityI: 86.9814 liquidityII: 114.3062
netMargin: 11.8067 grossMargin: -42.5515
cashFlowMargin: -7.1315 ebitMargin: 4.9128
ebitdaMargin: 0.0000 preTaxROE: 10.2929
preTaxROA: 2.5970 roe: 6.4169
roa: 1.6190 netIncomeGrowth: -40.6375
revenuesGrowth: 7.2218 taxExpenseRate: 40.1674
equityTurnover: 0.5435 epsBasic: 0.2000
epsBasicGrowth: -39.3939 incomeBeforeTaxes: 23.9000
priceEarningsRatioCompany: 105.7500 priceCashFlowRatio: -179.3919
dividendYield: 0.3783 bookValuePerShare: 3.0418
marketCap: 1614527550.0000 earningsYield: 0.9456
pegRatio: -2.6844 cashFlowPerShare: -0.1179
netAssetsPerShare: 2.9684 priceBookValueRatio: 6.9532
dividendsPerShare: 0.0800 priceEarningsRatio: 108.3576
netEarningsPerShare: 0.1952 currency: EUR
year: 2023 units: 1000000
balanceSheetTotal: 1100.6900 cash: 90.4000
liabilities: 1101.6900 totalLiabilitiesEquity: 1100.6900
provisions: 30.9800 totalShareholdersEquity: 240.7000
employees: 629 property: 398.3700
intangibleAssets: 64.8500 longTermInvestments: 17.5200
inventories: 281.2600 accountsReceivable: 37.8200
accountsPayable: 59.7400 liabilitiesTotal: 861.0000
longTermDebt: 712.9400 shortTermDebt: 62.5300
minorityInterests: -3.4000 sales: 121.5300
depreciation: 34.1700 netIncome: -8.1700
operatingResult: 5.7300 incomeInterest: -14.4000
incomeTaxes: 0.8900 minorityInterestsProfit: 1.3700
revenuePerEmployee: 193211.4467 cashFlow: -166.1500
cashFlowInvesting: -20.1300 cashFlowFinancing: 155.1100
accountingStandard: IFRS equityRatio: 21.8681
debtEquityRatio: 357.2871 liquidityI: 8.2056
liquidityII: 11.6385 netMargin: -6.7226
cashFlowMargin: -136.7152 ebitMargin: 4.7149
ebitdaMargin: 0.0000 preTaxROE: -3.5688
preTaxROA: -0.7804 roe: -3.3943
roa: -0.7423 netIncomeGrowth: -154.8322
revenuesGrowth: -3.7005 taxExpenseRate: -10.3609
equityTurnover: 0.5049 epsBasic: -0.1300
epsBasicGrowth: -165.0000 incomeBeforeTaxes: -8.5900
priceCashFlowRatio: -6.3587 dividendYield: 0.5780
bookValuePerShare: 3.1531 marketCap: 1056504080.0000
earningsYield: -0.9393 cashFlowPerShare: -2.1765
netAssetsPerShare: 3.1086 priceBookValueRatio: 4.3893
dividendsPerShare: 0.0800 netEarningsPerShare: -0.1070
currency: EUR
year: 2024 priceCashFlowRatio: -5.0080
dividendYield: 0.7339 bookValuePerShare: 3.1531
marketCap: 832073300.0000 earningsYield: -1.1927
pegRatio: 0.5082 cashFlowPerShare: -2.1765
netAssetsPerShare: 3.1531 priceBookValueRatio: 3.4569
netEarningsPerShare: -0.1070 currency: EUR

Finanzen (ausführlich)

year: 2022
units: 1000000
balanceSheetTotal: 920.3000
cash: 121.6000
currentAssets: 334.9000
fixedAssets: 585.4000
liabilities: 139.8000
nonCurrentLiabilities: 547.8000
totalLiabilitiesEquity: 920.3000
provisions: 26.9000
totalShareholdersEquity: 232.2000
employees: 514
property: 353.8000
intangibleAssets: 0.5000
longTermInvestments: 14.2000
inventories: 147.4000
accountsReceivable: 38.2000
accountsPayable: 44.6000
liabilitiesTotal: 920.3000
longTermDebt: 530.6000
shortTermDebt: 42.2000
minorityInterests: -5.6000
sales: 126.2000
depreciation: 29.2000
netIncome: 14.9000
operatingResult: 6.2000
incomeInterest: 17.6000
incomeTaxes: 9.6000
costGoodsSold: 179.9000
grossProfit: -53.7000
minorityInterestsProfit: 0.8000
revenuePerEmployee: 245525.2918
cashFlow: -9.0000
cashFlowInvesting: -98.0000
cashFlowFinancing: 79.2000
accountingStandard: IFRS
equityRatio: 25.2309
debtEquityRatio: 296.3394
liquidityI: 86.9814
liquidityII: 114.3062
netMargin: 11.8067
grossMargin: -42.5515
cashFlowMargin: -7.1315
ebitMargin: 4.9128
ebitdaMargin: 0.0000
preTaxROE: 10.2929
preTaxROA: 2.5970
roe: 6.4169
roa: 1.6190
netIncomeGrowth: -40.6375
revenuesGrowth: 7.2218
taxExpenseRate: 40.1674
equityTurnover: 0.5435
epsBasic: 0.2000
epsBasicGrowth: -39.3939
incomeBeforeTaxes: 23.9000
priceEarningsRatioCompany: 105.7500
priceCashFlowRatio: -179.3919
dividendYield: 0.3783
bookValuePerShare: 3.0418
marketCap: 1614527550.0000
earningsYield: 0.9456
pegRatio: -2.6844
cashFlowPerShare: -0.1179
netAssetsPerShare: 2.9684
priceBookValueRatio: 6.9532
dividendsPerShare: 0.0800
priceEarningsRatio: 108.3576
netEarningsPerShare: 0.1952
currency: EUR
year: 2023
units: 1000000
balanceSheetTotal: 1100.6900
cash: 90.4000
liabilities: 1101.6900
totalLiabilitiesEquity: 1100.6900
provisions: 30.9800
totalShareholdersEquity: 240.7000
employees: 629
property: 398.3700
intangibleAssets: 64.8500
longTermInvestments: 17.5200
inventories: 281.2600
accountsReceivable: 37.8200
accountsPayable: 59.7400
liabilitiesTotal: 861.0000
longTermDebt: 712.9400
shortTermDebt: 62.5300
minorityInterests: -3.4000
sales: 121.5300
depreciation: 34.1700
netIncome: -8.1700
operatingResult: 5.7300
incomeInterest: -14.4000
incomeTaxes: 0.8900
minorityInterestsProfit: 1.3700
revenuePerEmployee: 193211.4467
cashFlow: -166.1500
cashFlowInvesting: -20.1300
cashFlowFinancing: 155.1100
accountingStandard: IFRS
equityRatio: 21.8681
debtEquityRatio: 357.2871
liquidityI: 8.2056
liquidityII: 11.6385
netMargin: -6.7226
cashFlowMargin: -136.7152
ebitMargin: 4.7149
ebitdaMargin: 0.0000
preTaxROE: -3.5688
preTaxROA: -0.7804
roe: -3.3943
roa: -0.7423
netIncomeGrowth: -154.8322
revenuesGrowth: -3.7005
taxExpenseRate: -10.3609
equityTurnover: 0.5049
epsBasic: -0.1300
epsBasicGrowth: -165.0000
incomeBeforeTaxes: -8.5900
priceCashFlowRatio: -6.3587
dividendYield: 0.5780
bookValuePerShare: 3.1531
marketCap: 1056504080.0000
earningsYield: -0.9393
cashFlowPerShare: -2.1765
netAssetsPerShare: 3.1086
priceBookValueRatio: 4.3893
dividendsPerShare: 0.0800
netEarningsPerShare: -0.1070
currency: EUR
year: 2024
priceCashFlowRatio: -5.0080
dividendYield: 0.7339
bookValuePerShare: 3.1531
marketCap: 832073300.0000
earningsYield: -1.1927
pegRatio: 0.5082
cashFlowPerShare: -2.1765
netAssetsPerShare: 3.1531
priceBookValueRatio: 3.4569
netEarningsPerShare: -0.1070
currency: EUR