Rapport Actions Morningstar

London Stock Exchange Group PLC LSEG

Period
Show Report Dates
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Common size as percentageCommon size as fraction
Rounding
ThousandBillion
Bilan
2014201520162017201820192020202120222023
L'année fiscale se termine en31/03/201431/12/201531/12/201631/12/201731/12/201831/12/201931/12/202031/12/202131/12/202231/12/2023
Actif
Actif non-courant
Immobilisations incorporelles2 669,703 704,204 124,004 589,004 687,004 421,004 324,0031 724,0035 066,0033 147,00
Corporel93,3093,90108,00129,00149,00288,00297,00832,00797,00716,00
Investissements5,1061,3010,005,0025,00269,00305,00376,00428,00400,00
Autre101,40128,20179,00239,00152,00159,00146,001 280,001 074,001 108,00
Total2 869,503 987,604 421,004 962,005 013,005 137,005 072,0034 212,0037 365,0035 371,00
Actif courant
Action0,503,703,00-------
Débiteurs250,50331,30573,00597,00704,00481,00537,00815,001 138,001 812,00
Liquidités et valeurs mobilières919,20923,901 151,001 381,001 510,00368,00635,001 404,001 990,002 251,00
Total504 968,70457 980,10560 375,80737 012,00837 833,00798 514,00844 069,00752 881,00797 791,00769 639,00
Held for Disposal18,701 283,500,006,00--0,0016,00--
Total de l'actif507 856,90463 251,20564 796,80741 980,00842 846,00803 651,00849 141,00787 109,00835 156,00805 010,00
Passif et capitaux propres
Passif
Courant504 448,60458 589,90559 760,80736 172,00836 853,00797 538,00842 970,00750 767,00796 469,00768 578,00
Non-circulant1 405,301 465,201 422,002 056,002 295,002 312,002 046,0010 823,0010 536,0010 488,00
Total505 853,90460 055,10561 182,80738 228,00839 148,00799 850,00845 016,00761 590,00807 005,00779 066,00
Equity
Capital social18,80984,00985,00988,00989,00991,00995,001 017,001 017,001 016,00
Reserves1 546,201 759,902 121,002 239,002 354,002 464,002 716,0022 623,0024 979,0022 791,00
Fonds des actionnaires1 565,002 743,903 106,003 227,003 343,003 455,003 711,0023 640,0025 996,0023 807,00
Minorités438,00452,20508,00525,00355,00346,00414,001 879,002 155,002 137,00
Total2 003,003 196,103 614,003 752,003 698,003 801,004 125,0025 519,0028 151,0025 944,00
Total passif et capitaux propres507 856,90463 251,20564 796,80741 980,00842 846,00803 651,00849 141,00787 109,00835 156,00805 010,00
Emprunts nets156,10552,80-138,00572,00698,001 900,001 597,006 965,006 833,007 448,00
Ratios d'investissements
Valeur nette actifs corp PA-348,99-321,02-324,43-350,12-339,49-343,63-244,32-1 562,00-1 559,39-1 710,09
ROCE10,458,658,5610,8312,6511,918,933,013,674,05
ROE11,8612,465,2015,9514,6112,2711,7522,885,253,06
Effet de Levier Brut68,7153,8232,6160,5266,0565,6457,6735,4033,9440,74
Liquidités58,7433,6737,0642,8045,1710,6514,635,947,669,46
Couverture intérêts x4,956,006,439,6810,389,469,345,527,975,25
Quick Ratio r0,000,000,000,000,000,000,000,000,000,01
Coefficient de liquidité r1,001,001,001,001,001,001,001,001,001,00
Emprunts
Total Emprunts1 075,301 476,701 166,001 953,002 208,002 268,000,008 369,000,01-
Attendu en - 1 an278,70930,20619,00522,00565,00549,00647,00168,001 434,002 166,00
Attendu en 1-2 ans---249,00------
Attendu en 2-5 ans---298,00------
Attendu en + 5 ans796,60546,50547,00884,001 643,001 719,001 493,008 201,007 389,007 533,00

GBP Dans Millions except per share data.

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