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Huhtamaki Oyj
OMXH:HUH1V

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Huhtamaki Oyj
OMXH:HUH1V
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Price: 34.2 EUR 1.91% Market Closed
Market Cap: 3.6B EUR
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Balance Sheet

Balance Sheet Decomposition
Huhtamaki Oyj

Current Assets 1.8B
Cash & Short-Term Investments 408.1m
Receivables 729.9m
Other Current Assets 688.2m
Non-Current Assets 3B
Long-Term Investments 2.8m
PP&E 1.8B
Intangibles 1.1B
Other Non-Current Assets 117.4m
Current Liabilities 1.3B
Accounts Payable 847.8m
Short-Term Debt 114.7m
Other Current Liabilities 292.6m
Non-Current Liabilities 1.7B
Long-Term Debt 1.3B
Other Non-Current Liabilities 377.2m

Balance Sheet
Huhtamaki Oyj

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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
351
103
106
116
95
199
316
179
309
348
Cash
327
74
77
98
90
183
294
177
305
255
Cash Equivalents
24
30
29
18
5
17
22
2
4
93
Total Receivables
344
413
460
480
525
583
491
720
675
627
Accounts Receivables
305
375
418
419
461
492
403
590
563
511
Other Receivables
39
38
43
61
63
90
88
130
112
116
Inventory
313
386
402
445
498
498
473
666
755
621
Other Current Assets
30
31
25
44
39
41
54
48
74
55
Total Current Assets
1 038
933
993
1 085
1 157
1 321
1 333
1 613
1 814
1 651
PP&E Net
680
854
1 036
1 055
1 233
1 398
1 365
1 674
1 736
1 795
PP&E Gross
680
854
1 036
1 055
1 233
1 398
1 365
1 674
1 736
1 795
Accumulated Depreciation
852
971
1 085
1 095
1 250
1 394
1 405
1 567
1 693
1 783
Intangible Assets
19
30
40
37
41
35
37
122
118
104
Goodwill
432
571
669
634
698
736
732
1 001
1 035
995
Note Receivable
4
4
5
3
3
4
3
2
1
2
Long-Term Investments
14
15
9
8
7
7
2
2
2
2
Other Long-Term Assets
112
108
124
110
102
110
122
128
116
116
Other Assets
432
571
669
634
698
736
732
1 001
1 035
995
Total Assets
2 298
N/A
2 515
+9%
2 875
+14%
2 931
+2%
3 240
+11%
3 611
+11%
3 596
0%
4 542
+26%
4 821
+6%
4 665
-3%
Liabilities
Accounts Payable
254
302
305
352
361
406
363
550
491
415
Accrued Liabilities
129
146
176
138
134
156
168
172
162
195
Short-Term Debt
42
91
130
153
267
148
156
270
223
84
Current Portion of Long-Term Debt
76
67
137
26
40
93
95
157
169
167
Other Current Liabilities
42
60
71
66
126
149
155
174
163
172
Total Current Liabilities
543
665
818
735
928
951
938
1 322
1 208
1 033
Long-Term Debt
527
503
521
644
729
880
941
1 276
1 404
1 403
Deferred Income Tax
72
78
92
87
91
98
99
132
133
137
Minority Interest
31
35
48
49
52
89
80
77
80
87
Other Liabilities
263
233
261
257
224
245
253
215
154
167
Total Liabilities
1 436
N/A
1 514
+5%
1 740
+15%
1 772
+2%
2 025
+14%
2 263
+12%
2 312
+2%
3 022
+31%
2 979
-1%
2 827
-5%
Equity
Common Stock
366
366
366
366
366
366
366
366
366
366
Retained Earnings
597
682
804
917
966
1 067
1 140
1 245
1 429
1 537
Additional Paid In Capital
115
115
115
115
115
115
115
115
115
115
Unrealized Security Profit/Loss
99
76
103
101
96
103
104
72
30
48
Treasury Stock
39
37
36
34
32
31
31
31
31
30
Other Equity
78
50
11
105
104
66
202
102
7
102
Total Equity
862
N/A
1 001
+16%
1 135
+13%
1 159
+2%
1 215
+5%
1 348
+11%
1 284
-5%
1 521
+18%
1 842
+21%
1 838
0%
Total Liabilities & Equity
2 298
N/A
2 515
+9%
2 875
+14%
2 931
+2%
3 240
+11%
3 611
+11%
3 596
0%
4 542
+26%
4 821
+6%
4 665
-3%
Shares Outstanding
Common Shares Outstanding
104
104
104
104
104
104
104
104
104
105

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