E ON SE
MIL:EOAN

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E ON SE
MIL:EOAN
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Price: 11.99 EUR Market Closed
Market Cap: 31.3B EUR
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E ON SE?
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Balance Sheet

Balance Sheet Decomposition
E ON SE

Current Assets 31.7B
Cash & Short-Term Investments 7.2B
Receivables 22.4B
Other Current Assets 2.1B
Non-Current Assets 82.3B
Long-Term Investments 10.4B
PP&E 43.6B
Intangibles 20.1B
Other Non-Current Assets 8.1B
Current Liabilities 35.3B
Accounts Payable 24.6B
Other Current Liabilities 10.6B
Non-Current Liabilities 63.8B
Long-Term Debt 33.5B
Other Non-Current Liabilities 30.3B

Balance Sheet
E ON SE

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Balance Sheet
Currency: EUR
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
3 191
5 189
5 574
2 708
3 924
1 894
2 668
3 634
7 324
5 585
Cash Equivalents
3 191
5 189
5 574
2 708
3 924
1 894
2 668
3 634
7 324
5 585
Short-Term Investments
1 812
2 078
2 147
670
774
1 197
1 111
1 596
1 598
1 375
Total Receivables
27 432
28 154
8 033
4 629
4 412
10 247
9 188
27 071
35 598
17 883
Accounts Receivables
24 311
25 331
6 719
3 879
3 899
8 380
7 740
24 696
32 928
15 768
Other Receivables
3 121
2 823
1 314
750
513
1 867
1 448
2 375
2 670
2 115
Inventory
3 356
2 546
785
794
684
1 252
1 131
1 051
2 204
1 940
Other Current Assets
6 834
2 114
864
6 985
13 647
7 704
5 803
5 770
5 516
3 689
Total Current Assets
42 625
40 081
17 403
15 786
23 441
22 294
19 901
39 122
52 240
30 472
PP&E Net
41 273
38 997
25 242
24 766
18 057
38 332
39 466
39 284
39 796
43 459
PP&E Gross
41 273
38 997
25 242
24 766
18 057
38 332
39 466
39 284
39 796
43 459
Accumulated Depreciation
55 485
54 023
31 565
31 666
28 526
29 053
31 309
31 333
32 275
35 190
Intangible Assets
4 882
4 465
2 329
2 243
2 162
4 138
3 855
3 553
3 453
3 592
Goodwill
11 812
6 441
3 463
3 337
2 054
17 481
17 827
17 408
17 017
17 126
Note Receivable
7 563
9 151
2 321
452
441
741
661
9 612
9 308
3 732
Long-Term Investments
11 363
10 462
11 500
7 088
5 507
9 316
8 153
7 929
9 070
10 391
Other Long-Term Assets
6 172
4 096
1 441
2 278
2 662
5 778
5 522
2 851
3 125
4 734
Other Assets
11 812
6 441
3 463
3 337
2 054
17 481
17 827
17 408
17 017
17 126
Total Assets
125 690
N/A
113 693
-10%
63 699
-44%
55 950
-12%
54 324
-3%
98 080
+81%
95 385
-3%
119 759
+26%
134 009
+12%
113 506
-15%
Liabilities
Accounts Payable
2 185
2 375
2 040
1 800
1 660
8 782
8 064
9 113
14 360
11 580
Short-Term Debt
0
0
0
0
0
50
0
1 510
767
214
Current Portion of Long-Term Debt
3 883
2 788
3 792
3 099
1 563
3 791
3 418
5 020
4 419
4 403
Other Current Liabilities
29 574
28 281
17 293
9 145
12 038
13 227
13 087
24 868
34 662
21 416
Total Current Liabilities
35 642
33 444
23 125
14 044
15 261
25 850
24 569
40 511
54 208
37 613
Long-Term Debt
15 784
14 954
10 435
9 922
8 323
27 572
29 423
28 131
28 965
30 823
Deferred Income Tax
5 720
5 655
2 554
1 616
1 706
2 508
2 993
2 649
2 793
2 223
Minority Interest
2 128
2 648
2 342
2 701
2 760
4 149
4 130
5 836
5 944
5 856
Other Liabilities
41 831
40 563
26 298
23 660
20 516
28 902
29 345
30 579
26 176
22 877
Total Liabilities
101 105
N/A
97 264
-4%
64 754
-33%
51 943
-20%
48 566
-7%
88 981
+83%
90 460
+2%
107 706
+19%
118 086
+10%
99 392
-16%
Equity
Common Stock
2 001
2 001
2 001
2 201
2 201
2 641
2 641
2 641
2 641
2 641
Retained Earnings
16 842
9 419
8 495
4 552
2 461
1 927
5 257
1 228
3 217
1 491
Additional Paid In Capital
13 077
12 558
9 201
9 862
9 862
13 368
13 368
13 353
13 338
13 327
Unrealized Security Profit/Loss
887
419
353
293
39
33
67
34
60
22
Treasury Stock
2 502
1 714
1 714
1 126
1 126
1 126
1 126
1 094
1 067
1 042
Other Equity
5 720
6 254
2 401
2 671
2 757
3 890
4 768
4 109
2 146
2 281
Total Equity
24 585
N/A
16 429
-33%
1 055
N/A
4 007
N/A
5 758
+44%
9 099
+58%
4 925
-46%
12 053
+145%
15 923
+32%
14 114
-11%
Total Liabilities & Equity
125 690
N/A
113 693
-10%
63 699
-44%
55 950
-12%
54 324
-3%
98 080
+81%
95 385
-3%
119 759
+26%
134 009
+12%
113 506
-15%
Shares Outstanding
Common Shares Outstanding
1 933
1 952
1 952
2 167
2 167
2 607
2 607
2 609
2 610
2 612

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