Rapport Actions Morningstar

Carnival PLC CCL

Period
Show Report Dates
View
Common size as percentageCommon size as fraction
Rounding
ThousandBillion
Bilan
20192020202120222023
L'année fiscale se termine en30/11/201930/11/202030/11/202130/11/202230/11/2023
Actif
Actif non-courant
Immobilisations incorporelles4 086,001 993,001 760,001 735,001 748,00
Corporel38 131,0039 444,0039 440,0039 961,0041 381,00
Investissements-----
Autre-----
Total43 000,0043 031,0043 211,0044 211,0043 854,00
Actif courant
Action427,00335,00356,00428,00528,00
Débiteurs444,00273,00246,00395,00556,00
Liquidités et valeurs mobilières518,009 513,009 139,004 029,002 415,00
Total2 059,0010 563,0010 133,007 492,005 266,00
Held for Disposal-----
Total de l'actif45 058,0053 593,0053 344,0051 703,0049 120,00
Passif et capitaux propres
Passif
Courant9 127,008 686,0010 408,0010 605,0011 481,00
Non-circulant10 567,0024 352,0030 792,0034 034,0030 756,00
Total19 694,0033 038,0041 200,0044 639,0042 237,00
Equity
Capital social9 172,0014 320,0015 664,0017 245,0017 085,00
Reserves24 586,0014 639,004 946,00-1 713,00-1 753,00
Fonds des actionnaires25 364,0020 555,0012 144,007 064,006 883,00
Minorités-----
Total25 364,0020 555,0012 144,007 064,006 883,00
Total passif et capitaux propres45 058,0053 593,0053 344,0051 703,0049 120,00
Emprunts nets10 984,0018 867,0025 668,0031 852,0029 476,00
Ratios d'investissements
Valeur nette actifs corp PA2 406,031 208,44850,28441,92324,30
ROCE9,09-20,84-18,45-10,885,32
ROE12,01-44,58-58,11-63,44-1,06
Effet de Levier Brut45,35138,07284,97507,94463,33
Liquidités2,0446,2873,6157,0435,09
Couverture intérêts x15,85-10,46-4,95-2,780,97
Quick Ratio r0,111,130,900,420,26
Coefficient de liquidité r0,231,220,970,710,46
Emprunts
Total Emprunts11 502,0028 380,0034 607,00--
Attendu en - 1 an1 827,004 977,004 859,00--
Attendu en 1-2 ans-----
Attendu en 2-5 ans-----
Attendu en + 5 ans9 675,0023 403,0029 748,00--

USD Dans Millions except per share data.

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