(Q1)Jun 30, 2024 | (FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | (Q2)Sep 30, 2023 | (FY)Mar 31, 2023 | (Q4)Mar 31, 2023 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | (Q1)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | --4.48B | -11.65%4.11B | -11.65%4.11B | -28.42%2.9B | -20.65%3.63B | 29.21%4.66B | 29.21%4.66B | 36.88%4.05B | --4.57B | 14.90%4.62B |
-Cash and cash equivalents | --3.96B | 7.67%3.88B | 7.67%3.88B | 10.49%2.52B | 89.10%3.26B | 34.86%3.6B | 34.86%3.6B | -22.93%2.28B | --1.72B | -56.25%1.55B |
-Short-term investments | --526.1M | -77.49%237.8M | -77.49%237.8M | -78.55%379.5M | -87.17%364.9M | 13.07%1.06B | 13.07%1.06B | --1.77B | --2.84B | 552.29%3.07B |
Receivables | --100.5M | 27.97%76.4M | 27.97%76.4M | 97.16%76.5M | -12.44%68.3M | 37.24%59.7M | 37.24%59.7M | 88.35%38.8M | --78M | 178.48%62.1M |
-Accounts receivable | --100.5M | 27.97%76.4M | 27.97%76.4M | 97.16%76.5M | -12.44%68.3M | 37.24%59.7M | 37.24%59.7M | 88.35%38.8M | --78M | 178.48%62.1M |
Inventory | --5.8M | 3.33%6.2M | 3.33%6.2M | 37.78%6.2M | 26.67%5.7M | 39.53%6M | 39.53%6M | 12.50%4.5M | --4.5M | 18.42%4.5M |
Restricted cash | --6.4M | -67.18%6.4M | -67.18%6.4M | -8.37%20.8M | -14.10%19.5M | -14.10%19.5M | -14.10%19.5M | 0.00%22.7M | --22.7M | -33.43%22.7M |
Other current assets | --1.63B | 45.16%1.28B | 45.16%1.28B | 43.00%1.15B | 61.90%1.07B | 119.05%878.6M | 119.05%878.6M | 145.57%806.2M | --663.6M | 82.16%467.6M |
Total current assets | --6.52B | -1.43%5.83B | -1.43%5.83B | -21.45%4.3B | -16.88%5.4B | 7.97%5.91B | 7.97%5.91B | 43.26%5.48B | --6.5B | 56.50%7.05B |
Non current assets | ||||||||||
Net PPE | --11.11B | 8.85%11.01B | 8.85%11.01B | 9.39%10.8B | 10.61%10.51B | 9.64%10.12B | 9.64%10.12B | 10.94%9.87B | --9.5B | 9.58%9.39B |
-Gross PPE | --11.11B | 8.27%17.04B | 8.27%17.04B | 9.39%10.8B | 10.61%10.51B | 10.62%15.73B | 10.62%15.73B | 10.94%9.87B | --9.5B | 9.58%9.39B |
-Accumulated depreciation | ---- | -7.22%-6.02B | -7.22%-6.02B | ---- | ---- | -12.45%-5.62B | -12.45%-5.62B | ---- | ---- | ---- |
Goodwill and other intangible assets | --146.4M | 0.00%146.4M | 0.00%146.4M | 0.00%146.4M | 0.00%146.4M | 0.00%146.4M | 0.00%146.4M | 0.00%146.4M | --146.4M | 0.00%146.4M |
-Other intangible assets | ---- | 0.00%146.4M | 0.00%146.4M | ---- | ---- | 0.00%146.4M | 0.00%146.4M | ---- | ---- | ---- |
Financial assets | --59.6M | -93.96%3.3M | -93.96%3.3M | -96.95%3.4M | -64.80%110.1M | -70.50%54.6M | -70.50%54.6M | -43.94%111.5M | --312.8M | 143.12%259.9M |
Non current deferred assets | --2.1M | -68.18%2.1M | -68.18%2.1M | 110.71%5.9M | 56.76%5.8M | -84.40%6.6M | -84.40%6.6M | -77.05%2.8M | --3.7M | 27.23%24.3M |
Other non current assets | --169.8M | 8.47%183.2M | 8.47%183.2M | 31.70%199M | 43.04%200.4M | 134.26%168.9M | 134.26%168.9M | 152.68%151.1M | --140.1M | 102.87%98.8M |
Total non current assets | --11.49B | 8.14%11.35B | 8.14%11.35B | 8.46%11.15B | 8.59%10.97B | 8.47%10.49B | 8.47%10.49B | 10.39%10.28B | --10.1B | 11.58%9.92B |
Total assets | --18.01B | 4.69%17.18B | 4.69%17.18B | -1.94%15.46B | -1.38%16.37B | 8.29%16.41B | 8.29%16.41B | 19.96%15.76B | --16.6B | 26.68%16.97B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | --938.3M | -14.46%1.58B | -14.46%1.58B | -29.84%872M | -17.74%1.05B | 18.56%1.85B | 18.56%1.85B | 72.66%1.24B | --1.28B | 123.84%1.38B |
-accounts payable | --873.8M | -25.65%792.2M | -25.65%792.2M | -31.15%808.3M | -19.84%982.3M | 3.55%1.07B | 3.55%1.07B | 76.99%1.17B | --1.23B | 135.40%1.33B |
-Total tax payable | --64.5M | 0.69%792.1M | 0.69%792.1M | -7.41%63.7M | 30.06%70.1M | 47.52%786.7M | 47.52%786.7M | 21.77%68.8M | --53.9M | -1.92%51M |
Current accrued expenses | --5.86B | 25.58%1.6B | 25.58%1.6B | 18.81%3.11B | 22.15%3.32B | 33.96%1.28B | 33.96%1.28B | 46.97%2.61B | --2.72B | 86.20%3.84B |
Current provisions | --70.2M | 132.32%46M | 132.32%46M | 182.52%29.1M | 437.50%25.8M | 115.22%19.8M | 115.22%19.8M | 56.06%10.3M | --4.8M | --11.3M |
Current debt and capital lease obligation | --84.5M | -91.87%89.4M | -91.87%89.4M | -94.43%110M | -95.91%76.8M | -14.16%1.1B | -14.16%1.1B | 355.04%1.97B | --1.88B | 40.04%1.28B |
-Current debt | --45M | -95.27%50M | -95.27%50M | -96.38%69.9M | -98.07%35.3M | -13.70%1.06B | -13.70%1.06B | 408.25%1.93B | --1.83B | 41.57%1.22B |
-Current capital lease obligation | --39.5M | -8.80%39.4M | -8.80%39.4M | -10.29%40.1M | -12.63%41.5M | -24.08%43.2M | -24.08%43.2M | -17.53%44.7M | --47.5M | 14.62%59.6M |
Current deferred liabilities | ---- | 4.04%2.9B | 4.04%2.9B | ---- | ---- | 79.29%2.79B | 79.29%2.79B | ---- | ---- | ---- |
Other current liabilities | --56.1M | -53.75%178.8M | -53.75%178.8M | 90.68%167.8M | -53.52%64.8M | 901.55%386.6M | 901.55%386.6M | 113.59%88M | --139.4M | -25.75%32M |
Current liabilities | --7.01B | -13.76%6.4B | -13.76%6.4B | -27.72%4.29B | -24.57%4.54B | 37.47%7.42B | 37.47%7.42B | 98.94%5.93B | --6.02B | 79.96%6.55B |
Non current liabilities | ||||||||||
Long term provisions | --114.9M | -10.61%138.1M | -10.61%138.1M | 18.62%181.6M | 8.73%173.2M | 64.19%154.5M | 64.19%154.5M | 121.24%153.1M | --159.3M | 79.59%105.6M |
Long term debt and capital lease obligation | --2.67B | -11.90%2.66B | -11.90%2.66B | -12.86%2.66B | -16.46%2.72B | -20.54%3.02B | -20.54%3.02B | -34.82%3.06B | --3.26B | -21.59%3.77B |
-Long term debt | --2.53B | -11.25%2.53B | -11.25%2.53B | -12.07%2.53B | -15.99%2.58B | -23.19%2.85B | -23.19%2.85B | -37.35%2.88B | --3.07B | -21.19%3.69B |
-Long term capital lease obligation | --132.4M | -23.24%125.2M | -23.24%125.2M | -25.77%130.8M | -23.90%147.4M | 100.37%163.1M | 100.37%163.1M | 91.11%176.2M | --193.7M | -38.17%71.6M |
Non current deferred liabilities | --397.8M | 127.24%362M | 127.24%362M | 51.44%405.4M | 53.50%502.7M | -40.23%159.3M | -40.23%159.3M | 15.34%267.7M | --327.5M | 33.59%314.6M |
Derivative product liabilities | --1.2M | -70.54%3.3M | -70.54%3.3M | 6.09%48.8M | -99.05%1.1M | --11.2M | --11.2M | --46M | --115.3M | ---- |
Total non current liabilities | --3.18B | -5.40%3.16B | -5.40%3.16B | -6.80%3.3B | -13.11%3.4B | -20.55%3.34B | -20.55%3.34B | -32.32%3.54B | --3.91B | -20.33%4.21B |
Total liabilities | --10.19B | -11.16%9.56B | -11.16%9.56B | -19.90%7.58B | -20.05%7.94B | 12.06%10.76B | 12.06%10.76B | 15.33%9.47B | --9.93B | 20.54%10.76B |
Shareholders'equity | ||||||||||
Share capital | --6.8M | 0.00%6.9M | 0.00%6.9M | 0.00%6.9M | 0.00%6.9M | 1.47%6.9M | 1.47%6.9M | 1.47%6.9M | --6.9M | 2.99%6.9M |
-common stock | --6.8M | 0.00%6.9M | 0.00%6.9M | 0.00%6.9M | 0.00%6.9M | 1.47%6.9M | 1.47%6.9M | 1.47%6.9M | --6.9M | 2.99%6.9M |
Retained earnings | --6.01B | 41.14%5.9B | 41.14%5.9B | 47.05%6.37B | 53.78%6.36B | 45.09%4.18B | 45.09%4.18B | 39.93%4.33B | --4.13B | 3.56%3.07B |
Paid-in capital | --1.41B | 1.77%1.4B | 1.77%1.4B | 1.43%1.4B | 1.72%1.38B | 3.89%1.38B | 3.89%1.38B | 15.07%1.38B | --1.36B | 14.76%1.34B |
Gains losses not affecting retained earnings | --392.5M | 746.82%265.9M | 746.82%265.9M | -83.92%91.7M | -41.72%676.5M | -97.58%31.4M | -97.58%31.4M | -8.52%570.3M | --1.16B | 437.19%1.8B |
Other equity interest | --3.6M | -16.74%37.3M | -16.74%37.3M | 0.00%3.5M | 0.00%3.5M | 31.76%44.8M | 31.76%44.8M | 0.00%3.5M | --3.5M | 0.00%3.5M |
Total stockholders'equity | --7.83B | 34.93%7.61B | 34.93%7.61B | 25.10%7.87B | 26.44%8.43B | 1.76%5.64B | 1.76%5.64B | 27.67%6.29B | --6.67B | 38.93%6.21B |
Total equity | --7.83B | 34.93%7.61B | 34.93%7.61B | 25.10%7.87B | 26.44%8.43B | 1.76%5.64B | 1.76%5.64B | 27.67%6.29B | --6.67B | 38.93%6.21B |
Currency Unit | EUR | EUR | EUR | EUR | EUR | EUR | EUR | EUR | EUR | EUR |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | Unqualified Opinion | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |
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