Staff turnover in EUR139,482131,202136,999102,569103,003
Staff turnover in EUR139,482131,202136,999102,569103,003
The share: stated in EUR20212022202320242025
Shares outstanding (in mn.)100.0096.0089.0070.5879.00
Dividend per share1516161820
Basic earnings per share42.1054.2055.5064.8068.10
P/L in EUR million under IAS/IFRS20212022202320242025
Turnover23,394.026,463.028,137.031,680.032,549.0
Operating income (EBIT)745.0916.1924.61,044.31,051.7
Earnings before taxes5,378.06,533.06,234.06,926.06,913.0
Annual net profit/ loss4,160.05,029.04,740.05,227.05,242.0
Balance sheet in EUR million under IAS/IFRS20212022202320242025
Assets
Total current assets5,988.07,731.07,998.09,226.010,226.0
Total fixed assets12,554.014,282.015,800.018,532.019,377.0
Total assets18,542.022,013.023,798.027,758.029,603.0
Liabilities
Total short-term liabilities8,247.011,181.08,053.09,877.011,252.0
Total long-term liabilities3,294.03,665.010,389.012,373.013,069.0
Total provisions416.0363.0408.0494.0558.0
Equity capital7,001.07,167.05,356.05,508.05,282.0
Total liabilities18,542.022,013.023,798.027,758.029,603.0
Management:
Alexander Lacik
Anders Boyer
Berta de Pablos-Barbier
Byron Clayton
David Walmsley
Jeerasage Puranasamriddhi
Massimo Basei
Stephen Fairchild
Board:
Peter Arne Ruzicka
Birgitta Göransson
Catherine Spindler
Jan Zijderveld
Lars Sandahl Sorensen
Lilian Biner
Marianne Knudsen
Frigast
Shareholding in %:
Address: Havneholmen 17-19, 1561 Copenhagen
T: +45-36-72-00-44
F: +
I: http://www.pandoragroup.com
E: [email protected]