Staff20192020202120222023
Personnel at the end of the year-----
Staff turnover in EUR-----
Turnover LabelEUREUREUREUREUR
The share: stated in EUR20192020202120222023
Shares outstanding (in mn.)9.009.008.282.768.28
Dividend per share-0.90.90.9-
Basic earnings per share5.130.531.40-1.95-0.51
P/L in EUR million under IAS/IFRS20192020202120222023
Turnover141.1144.9145.6134.0121.2
Operating income (EBIT)4.34.35.6-8.7-2.4
Earnings before taxes3.63.75.2-9.1-2.6
Annual net profit/ loss2.41.53.9-5.4-1.4
Balance sheet in EUR million under IAS/IFRS20192020202120222023
Assets
Total current assets83.585.685.172.573.3
Total fixed assets44.541.941.741.039.0
Total assets128.0127.5126.8113.5112.3
Liabilities
Total short-term liabilities22.424.525.022.120.1
Total long-term liabilities26.224.120.714.719.8
Total provisions14.515.714.49.110.1
Equity capital79.478.981.076.772.4
Total liabilities128.0127.5126.8113.5112.3
Management:
Tim Herder
Maik-Holger Krämer
Board:
Joern Kaemper
Stephan Zilkens
Volker Hues
Jochen Mueller
Julia Tauscher
Kevin Wegner
Shareholding in %:
Banque Pictet & Cie SA 2.97
Crocodile Capital Partners GmbH 0.02
LOYS AG 2.05
Lazard Frères Gestion SAS 5.49
Quaero Capital SA 2.97
Freefloat 86.50
Address: Südstrasse 47, 51645 Gummersbach
T: +49-2261-542-0
F: +49-2261-55-88-3
I: http://www.tapetenshop.de
E: contact@as-creation.de