SHOP APOTHEKE EUROPE INH.

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Firmenbeschreibung

Shop Apotheke Europe N.V. zählt zu den führenden europäischen Online-Apotheken. Die Gruppe vertreibt hauptsächlich rezeptfreie Arzneimittel sowie apothekenübliche Schönheits- und Pflegeprodukte. In diesem Zusammenhang bietet Shop Apotheke auch umfassende Informationen zu Medikamenten, ihrer Anwendung sowie zu Neben- und Wechselwirkungen.

KeyData

endOfFinancialYear: 31.12.2022 00:00
stockholderStructure: Michael Köhler (10.5%),Galenica AG (7.93%)
sharesOutstanding: 18095000.0000
ceo: Stefan Feltens
board: Jasper Eenhorst, Marc Fischer, Stephan Weber, Theresa Holler, Olaf Heinrich (CEO-from 08.01.2023), Monica Ambrosi, Patrick Schneider, Beate Krosch, Nana Lohmanns, Dirk Bruse, Jens Wolfgarten
supervisoryBoard: Dr. Björn Söder, Frank Köhler, Henriette Peucker, Jérome Cochet, Jaska Marianne De Bakker
countryID: 4
faceValue: 0.0200
faceValueCurrencyID: 1
faceValueCurrency: EUR
sectorName: Einzelhändler
industryName: Konsumgüter
country: Niederlande
countryName: Niederlande

Kontakt

name: Monica Ambrosi
email: Investorrelations@redcare.co
irWebSite: https://ir.redcare-pharmacy.com/en

Adresse

street: Erik de Rodeweg 11–13
city: Sevenum 5975 WD
phone: +31 800-200-800-300
fax: +31 800-90-70-90-20
webSite: shop-apotheke-europe.com/
email: kontakt@shop-apotheke.com

Finanzen (kurz)

year: 2020 cash: 90.5000
balanceSheetTotal: 536.9000 liabilities: 111.8000
totalShareholdersEquity: 425.1000 sales: 968.1000
investment: 0.0900 incomeBeforeTaxes: -15.9000
netIncome: -16.8000 cashFlow: 27.8000
employees: 1220 currencyID: 1
units: 1000000 currency: EUR
year: 2021 cash: 247.4000
balanceSheetTotal: 783.1000 liabilities: 367.7000
totalShareholdersEquity: 415.4000 sales: 1060.3000
investment: 1.5000 incomeBeforeTaxes: -77.9000
netIncome: -74.2000 cashFlow: 156.9000
employees: 1826 currencyID: 1
units: 1000000 currency: EUR
year: 2022 cash: 66.7800
balanceSheetTotal: 729.4700 liabilities: 729.4700
totalShareholdersEquity: 354.6300 sales: 1204.3500
investment: 2.0800 incomeBeforeTaxes: -84.1200
netIncome: -77.6500 employees: 2164
currencyID: 1 units: 1000000
currency: EUR

Finanzen (kurz)

year: 2020
cash: 90.5000
balanceSheetTotal: 536.9000
liabilities: 111.8000
totalShareholdersEquity: 425.1000
sales: 968.1000
investment: 0.0900
incomeBeforeTaxes: -15.9000
netIncome: -16.8000
cashFlow: 27.8000
employees: 1220
currencyID: 1
units: 1000000
currency: EUR
year: 2021
cash: 247.4000
balanceSheetTotal: 783.1000
liabilities: 367.7000
totalShareholdersEquity: 415.4000
sales: 1060.3000
investment: 1.5000
incomeBeforeTaxes: -77.9000
netIncome: -74.2000
cashFlow: 156.9000
employees: 1826
currencyID: 1
units: 1000000
currency: EUR
year: 2022
cash: 66.7800
balanceSheetTotal: 729.4700
liabilities: 729.4700
totalShareholdersEquity: 354.6300
sales: 1204.3500
investment: 2.0800
incomeBeforeTaxes: -84.1200
netIncome: -77.6500
employees: 2164
currencyID: 1
units: 1000000
currency: EUR

Finanzen (ausführlich)

year: 2021 units: 1000000
balanceSheetTotal: 783.1000 cash: 247.4000
currentAssets: 432.8000 liabilities: 124.1000
totalLiabilitiesEquity: 783.1000 provisions: 13.6000
totalShareholdersEquity: 415.4000 employees: 1826
property: 78.3000 intangibleAssets: 257.5000
longTermInvestments: 13.1000 inventories: 96.6000
accountsReceivable: 52.3000 accountsPayable: 80.5000
liabilitiesTotal: 367.7000 sales: 1060.3000
netIncome: -74.2000 operatingResult: -65.7000
incomeInterest: -11.8000 incomeTaxes: 3.7000
costGoodsSold: 793.8000 grossProfit: 266.5000
revenuePerEmployee: 580668.1271 cashFlow: 11.6000
cashFlowInvesting: -84.3000 cashFlowFinancing: 229.6000
cashFlowTotal: 156.9000 accountingStandard: IFRS
equityRatio: 53.0456 debtEquityRatio: 88.5171
liquidityI: 199.3554 liquidityII: 241.4988
netMargin: -6.9980 grossMargin: 25.1344
cashFlowMargin: 1.0940 ebitMargin: -6.1964
ebitdaMargin: 0.0000 preTaxROE: -18.7530
preTaxROA: -9.9476 roe: -17.8623
roa: -9.4752 netIncomeGrowth: 341.6667
revenuesGrowth: 9.5238 taxExpenseRate: -4.7497
equityTurnover: 2.5525 epsBasic: -4.1500
epsDiluted: -4.1500 epsBasicGrowth: 254.7009
incomeBeforeTaxes: -77.9000 priceCashFlowRatio: 174.5134
dividendYield: 0.0000 bookValuePerShare: 23.2288
marketCap: 2024355600.0000 earningsYield: -3.6661
cashFlowPerShare: 0.6487 priceBookValueRatio: 4.8733
dividendsPerShare: 0.0000 netEarningsPerShare: -4.1492
currency: EUR
year: 2022 units: 1000000
balanceSheetTotal: 729.4700 cash: 66.7800
currentAssets: 343.9200 fixedAssets: 385.5600
liabilities: 119.3100 nonCurrentLiabilities: 255.5400
totalLiabilitiesEquity: 729.4700 provisions: 7.8900
totalShareholdersEquity: 354.6300 employees: 2164
property: 85.4400 intangibleAssets: 289.0100
longTermInvestments: 1.2700 inventories: 99.7100
accountsReceivable: 59.8800 accountsPayable: 72.8800
liabilitiesTotal: 729.4700 longTermDebt: 247.6500
shortTermDebt: 7.5100 sales: 1204.3500
netIncome: -77.6500 operatingResult: -69.1700
incomeInterest: -15.2800 incomeTaxes: -6.4700
costGoodsSold: 872.5700 grossProfit: 331.7900
revenuePerEmployee: 556538.8170 cashFlow: -29.1100
cashFlowInvesting: -138.0100 cashFlowFinancing: -13.5200
accountingStandard: IFRS equityRatio: 48.6147
debtEquityRatio: 105.6989 liquidityI: 55.9718
liquidityII: 106.1604 netMargin: -6.4475
grossMargin: 27.5493 cashFlowMargin: -2.4171
ebitMargin: -5.7433 ebitdaMargin: 0.0000
preTaxROE: -23.7205 preTaxROA: -11.5317
roe: -21.8961 roa: -10.6447
netIncomeGrowth: 4.6496 revenuesGrowth: 13.5858
taxExpenseRate: 7.6914 equityTurnover: 3.3961
epsBasic: -4.3200 epsBasicGrowth: 4.0964
priceCashFlowRatio: -27.9335 bookValuePerShare: 19.4859
marketCap: 813143875.0800 earningsYield: -9.6688
cashFlowPerShare: -1.5995 priceBookValueRatio: 2.2929
netEarningsPerShare: -4.2667 currency: EUR
year: 2023 priceCashFlowRatio: -78.5239
bookValuePerShare: 19.4859 marketCap: 2285829693.6000
earningsYield: -3.4395 pegRatio: -7.0975
cashFlowPerShare: -1.5995 netAssetsPerShare: 19.4859
priceBookValueRatio: 6.4457 netEarningsPerShare: -4.2667
currency: EUR

Finanzen (ausführlich)

year: 2021
units: 1000000
balanceSheetTotal: 783.1000
cash: 247.4000
currentAssets: 432.8000
liabilities: 124.1000
totalLiabilitiesEquity: 783.1000
provisions: 13.6000
totalShareholdersEquity: 415.4000
employees: 1826
property: 78.3000
intangibleAssets: 257.5000
longTermInvestments: 13.1000
inventories: 96.6000
accountsReceivable: 52.3000
accountsPayable: 80.5000
liabilitiesTotal: 367.7000
sales: 1060.3000
netIncome: -74.2000
operatingResult: -65.7000
incomeInterest: -11.8000
incomeTaxes: 3.7000
costGoodsSold: 793.8000
grossProfit: 266.5000
revenuePerEmployee: 580668.1271
cashFlow: 11.6000
cashFlowInvesting: -84.3000
cashFlowFinancing: 229.6000
cashFlowTotal: 156.9000
accountingStandard: IFRS
equityRatio: 53.0456
debtEquityRatio: 88.5171
liquidityI: 199.3554
liquidityII: 241.4988
netMargin: -6.9980
grossMargin: 25.1344
cashFlowMargin: 1.0940
ebitMargin: -6.1964
ebitdaMargin: 0.0000
preTaxROE: -18.7530
preTaxROA: -9.9476
roe: -17.8623
roa: -9.4752
netIncomeGrowth: 341.6667
revenuesGrowth: 9.5238
taxExpenseRate: -4.7497
equityTurnover: 2.5525
epsBasic: -4.1500
epsDiluted: -4.1500
epsBasicGrowth: 254.7009
incomeBeforeTaxes: -77.9000
priceCashFlowRatio: 174.5134
dividendYield: 0.0000
bookValuePerShare: 23.2288
marketCap: 2024355600.0000
earningsYield: -3.6661
cashFlowPerShare: 0.6487
priceBookValueRatio: 4.8733
dividendsPerShare: 0.0000
netEarningsPerShare: -4.1492
currency: EUR
year: 2022
units: 1000000
balanceSheetTotal: 729.4700
cash: 66.7800
currentAssets: 343.9200
fixedAssets: 385.5600
liabilities: 119.3100
nonCurrentLiabilities: 255.5400
totalLiabilitiesEquity: 729.4700
provisions: 7.8900
totalShareholdersEquity: 354.6300
employees: 2164
property: 85.4400
intangibleAssets: 289.0100
longTermInvestments: 1.2700
inventories: 99.7100
accountsReceivable: 59.8800
accountsPayable: 72.8800
liabilitiesTotal: 729.4700
longTermDebt: 247.6500
shortTermDebt: 7.5100
sales: 1204.3500
netIncome: -77.6500
operatingResult: -69.1700
incomeInterest: -15.2800
incomeTaxes: -6.4700
costGoodsSold: 872.5700
grossProfit: 331.7900
revenuePerEmployee: 556538.8170
cashFlow: -29.1100
cashFlowInvesting: -138.0100
cashFlowFinancing: -13.5200
accountingStandard: IFRS
equityRatio: 48.6147
debtEquityRatio: 105.6989
liquidityI: 55.9718
liquidityII: 106.1604
netMargin: -6.4475
grossMargin: 27.5493
cashFlowMargin: -2.4171
ebitMargin: -5.7433
ebitdaMargin: 0.0000
preTaxROE: -23.7205
preTaxROA: -11.5317
roe: -21.8961
roa: -10.6447
netIncomeGrowth: 4.6496
revenuesGrowth: 13.5858
taxExpenseRate: 7.6914
equityTurnover: 3.3961
epsBasic: -4.3200
epsBasicGrowth: 4.0964
priceCashFlowRatio: -27.9335
bookValuePerShare: 19.4859
marketCap: 813143875.0800
earningsYield: -9.6688
cashFlowPerShare: -1.5995
priceBookValueRatio: 2.2929
netEarningsPerShare: -4.2667
currency: EUR
year: 2023
priceCashFlowRatio: -78.5239
bookValuePerShare: 19.4859
marketCap: 2285829693.6000
earningsYield: -3.4395
pegRatio: -7.0975
cashFlowPerShare: -1.5995
netAssetsPerShare: 19.4859
priceBookValueRatio: 6.4457
netEarningsPerShare: -4.2667
currency: EUR