Groep Brussel Lambert NV
XBRU:GBLB

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Groep Brussel Lambert NV Logo
Groep Brussel Lambert NV
XBRU:GBLB
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Price: 65.25 EUR 1.08% Market Closed
Market Cap: 8.4B EUR
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Balance Sheet

Balance Sheet Decomposition
Groep Brussel Lambert NV

Current Assets 5.3B
Cash & Short-Term Investments 2.8B
Receivables 683.5m
Other Current Assets 1.8B
Non-Current Assets 22.4B
Long-Term Investments 11.9B
PP&E 3.1B
Intangibles 6.7B
Other Non-Current Assets 776.6m
Current Liabilities 2.8B
Accounts Payable 610.9m
Short-Term Debt 58.9m
Other Current Liabilities 2.1B
Non-Current Liabilities 10.7B
Long-Term Debt 7.1B
Other Non-Current Liabilities 3.6B

Balance Sheet
Groep Brussel Lambert NV

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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
1 421
898
1 086
492
1 014
1 221
1 274
1 332
1 768
1 198
Cash
939
755
845
379
654
890
1 061
1 070
1 249
507
Cash Equivalents
481
144
241
113
360
332
213
262
519
691
Short-Term Investments
829
658
1 024
524
341
1 417
474
2 094
887
1 411
Total Receivables
902
816
875
964
975
1 201
1 123
1 310
1 421
826
Accounts Receivables
593
644
685
728
740
959
912
1 020
1 109
601
Other Receivables
309
172
190
236
236
242
211
291
312
225
Inventory
698
776
749
853
902
846
704
1 104
1 211
1 173
Other Current Assets
128
133
194
127
129
199
695
286
1 636
360
Total Current Assets
3 977
3 282
3 928
2 960
3 361
4 884
4 270
6 126
6 923
4 968
PP&E Net
2 008
2 192
2 393
2 622
2 337
2 788
2 516
2 750
3 289
2 977
PP&E Gross
2 008
2 192
2 393
2 622
2 337
2 788
2 516
2 750
3 289
2 977
Accumulated Depreciation
3 009
3 440
3 473
3 806
3 865
4 008
4 148
4 430
4 676
4 801
Intangible Assets
203
339
288
483
557
1 222
1 001
1 610
2 836
2 074
Goodwill
1 182
1 743
1 929
2 399
2 693
4 167
3 975
4 654
6 259
4 361
Long-Term Investments
12 179
12 646
13 138
15 390
14 718
17 962
18 315
18 880
13 782
13 377
Other Long-Term Assets
136
204
198
205
225
263
281
277
313
805
Other Assets
1 182
1 743
1 929
2 399
2 693
4 167
3 975
4 654
6 259
4 361
Total Assets
19 685
N/A
20 406
+4%
21 873
+7%
24 059
+10%
23 890
-1%
31 286
+31%
30 358
-3%
34 298
+13%
33 400
-3%
28 560
-14%
Liabilities
Accounts Payable
450
496
483
540
598
667
604
866
857
572
Accrued Liabilities
191
220
217
253
235
294
415
526
514
266
Short-Term Debt
39
403
65
629
156
897
256
150
438
24
Current Portion of Long-Term Debt
169
74
1 205
524
50
419
138
888
1 217
1 150
Other Current Liabilities
316
290
302
403
389
541
957
691
1 454
733
Total Current Liabilities
1 164
1 483
2 272
2 348
1 428
2 817
2 369
3 120
4 480
2 744
Long-Term Debt
3 372
3 489
2 384
2 835
3 624
5 372
5 625
6 616
8 715
7 177
Deferred Income Tax
77
119
130
181
198
346
272
458
659
517
Minority Interest
1 112
1 298
1 507
1 431
1 711
1 581
1 493
1 857
2 100
1 978
Other Liabilities
788
772
713
758
1 010
1 411
1 624
2 315
2 727
1 112
Total Liabilities
6 512
N/A
7 160
+10%
7 006
-2%
7 554
+8%
7 972
+6%
11 528
+45%
11 383
-1%
14 366
+26%
18 681
+30%
13 528
-28%
Equity
Common Stock
653
653
653
653
653
653
653
653
653
653
Retained Earnings
6 670
7 366
6 478
6 690
7 309
7 903
8 245
8 309
7 326
8 307
Additional Paid In Capital
3 816
3 816
3 816
3 816
3 816
3 816
3 816
3 816
3 816
3 816
Unrealized Security Profit/Loss
2 566
1 729
4 190
5 744
4 472
7 914
7 170
8 047
4 126
3 749
Treasury Stock
249
245
236
225
138
353
614
635
998
1 304
Other Equity
283
73
34
174
193
176
295
258
203
188
Total Equity
13 173
N/A
13 246
+1%
14 867
+12%
16 505
+11%
15 919
-4%
19 758
+24%
18 976
-4%
19 931
+5%
14 720
-26%
15 032
+2%
Total Liabilities & Equity
19 685
N/A
20 406
+4%
21 873
+7%
24 059
+10%
23 890
-1%
31 286
+31%
30 358
-3%
34 298
+13%
33 400
-3%
28 560
-14%
Shares Outstanding
Common Shares Outstanding
155
155
155
156
159
156
153
148
141
130

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