Rok finansowy |
2009 |
2010 |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
Aktywa (mln) |
87.715 |
94.93 |
178.568 |
244.413 |
179.03 |
74.44 |
81.692 |
89.519 |
85.651 |
86.04 |
124.213 |
18.934 |
18.887 |
9.84 |
Aktywa trwałe (mln) |
39.322 |
59.566 |
105.221 |
172.853 |
120.304 |
51.924 |
43.921 |
37.886 |
36.707 |
35.392 |
76.166 |
16.143 |
14.176 |
7.04 |
Rzeczowe aktywa trwałe netto |
23.929 |
43.771 |
90.538 |
139.604 |
93.974 |
48.803 |
40.996 |
35.063 |
33.774 |
33.006 |
29.331 |
14.318 |
13.201 |
7.04 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Wartości niematerialne i prawne |
0.0 |
0.0 |
0.0 |
7.914 |
4.96 |
2.427 |
1.756 |
1.384 |
1.096 |
0.813 |
0.495 |
0.125 |
0.103 |
0.0 |
Wartość firmy i wartości niematerialne i prawne |
9.864 |
8.925 |
8.727 |
7.914 |
4.96 |
2.427 |
1.756 |
1.384 |
1.096 |
0.813 |
0.495 |
0.125 |
0.103 |
0.0 |
Należności netto |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Inwestycje długoterminowe |
(16.139) |
(20.441) |
(20.175) |
0.0 |
(1.534) |
0.0 |
0.0 |
0.0 |
0.0 |
2e-05 |
5e-06 |
0.000152 |
0.0 |
0.0 |
Aktywa obrotowe |
48.393 |
35.364 |
73.347 |
71.56 |
58.726 |
22.516 |
37.771 |
51.633 |
48.944 |
50.648 |
48.047 |
2.791 |
4.711 |
2.8 |
Środki pieniężne i Inwestycje |
17.166 |
25.387 |
29.263 |
3.278 |
3.788 |
0.151 |
0.077 |
0.034 |
0.008 |
0.007 |
0.016 |
0.003 |
0.003 |
0.005 |
Zapasy |
18.681 |
4.929 |
8.991 |
17.614 |
11.675 |
8.2 |
17.23 |
23.646 |
25.843 |
27.829 |
23.869 |
1.93 |
2.076 |
1.495 |
Inwestycje krótkoterminowe |
17.058 |
23.786 |
24.037 |
0.0 |
2.172 |
0.0 |
0.0 |
0.0 |
0.0 |
0.01998 |
0.004995 |
0.151848 |
0.0 |
0.0 |
Środki pieniężne i inne aktywa pieniężne |
0.108 |
1.601 |
5.226 |
3.278 |
1.616 |
0.151 |
0.077 |
0.034 |
0.008 |
0.007 |
0.016 |
0.003 |
0.003 |
0.005 |
Należności krótkoterminowe |
15.302 |
11.04 |
9.819 |
1.206 |
17.553 |
7.153 |
12.492 |
49.249 |
11.002 |
11.729 |
9.165 |
3.07 |
3.592 |
1.179 |
Dług krótkoterminowy |
22.43 |
28.882 |
7.158 |
31.298 |
37.935 |
30.257 |
47.439 |
60.073 |
67.063 |
70.437 |
65.022 |
1.287 |
1.343 |
1.233 |
Zobowiązania krótkoterminowe |
42.769 |
46.272 |
21.331 |
43.129 |
65.901 |
52.82 |
86.794 |
116.643 |
128.783 |
143.977 |
150.104 |
11.201 |
12.477 |
8.16 |
Rozliczenia międzyokresowe |
0.021 |
1.941 |
0.0 |
10.62 |
10.311 |
15.375 |
26.851 |
5.374 |
6.004 |
60.171 |
72.764 |
6.699 |
7.491 |
0.0 |
Zobowiązania długoterminowe |
28.758 |
41.312 |
33.8 |
96.627 |
85.878 |
57.565 |
37.899 |
24.742 |
18.935 |
15.505 |
15.128 |
3.751 |
3.945 |
3.475 |
Rezerwy z tytułu odroczonego podatku |
0.609 |
0.137 |
2.255 |
3.036 |
3.017 |
1.101 |
0.827 |
0.613 |
0.374 |
0.136 |
0.011 |
0.054 |
0.195 |
0.147 |
Zobowiązania z tytułu leasingu |
5.52 |
7.842 |
7.822 |
7.821 |
5.303 |
2.984 |
2.523 |
2.403 |
2.393 |
3.768 |
3.686 |
2.211 |
2.494 |
2.249 |
Zobowiązania ogółem |
71.527 |
87.584 |
55.131 |
139.756 |
151.779 |
110.385 |
124.693 |
141.385 |
147.718 |
159.482 |
165.232 |
14.952 |
16.422 |
11.635 |
Kapitał własny |
16.333 |
8.422 |
122.995 |
104.41 |
27.787 |
(34.847) |
(43.001) |
(51.866) |
(62.067) |
(73.442) |
(41.019) |
3.982 |
2.465 |
(1.795) |
Udziały mniejszościowe |
(0.145) |
(1.076) |
0.442 |
0.247 |
(0.536) |
(1.098) |
(1.054) |
(1.094) |
(1.157) |
(1.222) |
(0.869) |
(0.141) |
(0.129) |
(0.139) |
Pasywa |
87.715 |
94.93 |
178.568 |
244.413 |
179.03 |
74.44 |
81.692 |
89.519 |
85.651 |
86.04 |
124.213 |
18.934 |
18.887 |
9.84 |
Inwestycje |
0.919 |
3.345 |
3.862 |
4.203 |
0.638 |
0.008 |
0.008 |
0.009 |
0.104 |
0.02 |
0.005 |
0.152 |
0.152 |
0.0 |
Dług (mln) |
40.126 |
43.152 |
13.734 |
97.339 |
101.857 |
74.423 |
72.992 |
72.576 |
72.56 |
73.924 |
68.44 |
3.136 |
3.428 |
3.113 |
Środki pieniężne i inne aktywa pieniężne |
0.108 |
1.601 |
5.226 |
3.278 |
1.616 |
0.151 |
0.077 |
0.034 |
0.008 |
0.007 |
0.016 |
0.003 |
0.003 |
0.005 |
Dług netto |
40.018 |
41.551 |
8.508 |
94.061 |
100.241 |
74.272 |
72.915 |
72.542 |
72.552 |
73.917 |
68.424 |
3.133 |
3.425 |
3.108 |
Ticker |
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