Home > Investor Relations > Financials > Key figures

Key figures


Key figures/Gamma Holding, a five-year summary
€ x 1,000,00020012000199919981997
Net turnover906.0938.4866.6799.3763.8
Amortisation of intangible fixed assets0.1    
Depreciation of tangible fixed assets45.441.838.828.928.7
Operating result70.2104.7100.070.464.4
Group result from normal business operations after taxation30.448.144.539.136.6
Result from normal business operations after taxation30.447.643.337.334.2
Result after taxation30.417.643.337.334.2
Cash flow1,775.989.482.166.262.9
Dividend12.119.217.415.713.7
Investments in intangible fixed assets13.3    
Investments in tangible fixed assets55.461.457.045.928.8
Shareholders’ funds at year-end182.6164.9174.6230.9206.7
Average shareholders’ funds178.5175.7158.6221.0201.0
Group equity at year-end185.9168.8178.6242.9219.3
Guarantee capital at year-end206.2198.1216.9242.9219.3
Capital employed2 at year-end543.0460.1437.4362.0286.1
Average capital employed2505.1470.1429.8312.1296.2
Balance sheet total at year-end766.8743.7709.4555.6495.6
Personnel costs254.3250.0228.8208.2202.4
      
Number of employees at year-end9,6128,7938,2028,3708,882
      
Average number of issued ordinary shares7,518,5357,455,7847,251,4076,738,9436,680,935
      
Amounts in € per ordinary share of € 2.5020012000199919981997
Cashflow1,3,710.0811.9911.319.819.40
Result from normal business operations after taxation34.036.385.955.525.10
Result after taxation34.032.355.955.525.10
Dividend1.602.542.362.182.04
Shareholders’ funds4 at year-end24.1621.8123.6133.9430.81
Price of ordinary share at year-end33.3840.0038.2039.4846.74
      
Ratios     
Operating result as a % of net turnover7.811.211.58.88.4
Group result after taxation7 as a % of net turnover3.45.15.14.94.8
Return on average capital employed (as a %)5,713.919.619.222.622.0
Result after taxation7 as a % of average shareholders’ funds17.027.127.316.917.0
Interest coverage ratio63.45.87.610.59.0
Shareholders’ funds as a % of the balance sheet total23.822.224.641.541.7
Group equity as a % of the balance sheet total24.222.725.243.744.3
Guarantee capital as % of the balance sheet total26.926.630.643.744.3
Current assets/current liabilities1.01.11.31.41.6
Share price/cash flow3,73.33.33.44.05.0
Share price/result after taxation3,78.36.36.47.29.2

 

1Result after taxation plus depreciation (amortisation) of (in)tangible fixed assets
2Group equity plus balance of interest-bearing liabilities
3 Excluding dividend on preference shares
4 Excluding preference share capital
5Result before interest and taxation from normal business operations
6 Result before interest and taxation from normal business operations divided by interest
7 Excluding extraordinary result


Page printed on: 18-05 06:38