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Basf Se
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Basf Se
XMUN:BAS
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Precio: 51,03 EUR 0,59%
Capitalización de mercado: €45,61 B

Balance general

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Balance general
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Balance general
Moneda: EUR
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Activos
Efectivo y equivalentes de efectivo
231
481
2.086
1.091
834
767
2.776
1.835
1.493
2.048
1.777
1.815
1.718
2.241
1.375
6.495
2.300
2.427
4.330
2.624
2.516
2.624
2.914
2.670
Equivalentes de efectivo
231
481
2.086
1.091
834
767
2.776
1.835
1.493
2.048
1.777
1.815
1.718
2.241
1.375
6.495
2.300
2.427
4.330
2.624
2.516
2.624
2.914
2.670
Inversiones a corto plazo
132
147
163
0
56
51
35
15
16
19
23
17
19
21
536
52
344
444
207
208
232
53
67
89
Cuentas por cobrar totales
7.647
7.599
7.963
7.456
8.588
10.898
8.958
9.181
11.642
12.517
11.603
11.894
12.365
11.961
13.522
13.725
13.329
12.178
13.468
16.573
17.409
14.113
12.784
10.904
Cuentas por cobrar comerciales
5.860
5.530
5.955
7.404
8.532
8.561
8.294
8.326
10.733
11.608
10.540
9.376
10.385
9.516
10.952
11.190
10.665
9.093
9.466
11.942
12.055
10.414
10.393
8.325
Otras cuentas por cobrar
1.787
2.069
2.008
52
56
2.337
664
855
909
909
1.063
2.518
1.980
2.445
2.570
2.535
2.664
3.085
4.002
4.631
5.354
3.699
2.391
2.579
Inventario
4.799
4.151
4.626
5.430
6.672
6.578
6.763
6.776
8.688
10.059
9.930
9.592
11.266
9.693
10.005
10.303
12.166
11.223
10.010
13.868
16.028
13.876
13.681
12.168
Otros activos corrientes
0
0
0
1.151
2.243
614
2.742
1.780
3.022
2.445
5.456
3.940
2.052
650
508
570
15.082
4.718
1.853
1.778
1.237
806
1.786
5.853
Activos corrientes totales
12.809
12.378
14.838
15.128
18.393
18.908
21.274
19.587
24.861
27.088
28.789
27.258
27.420
24.566
25.946
31.145
43.221
30.990
29.868
35.051
37.422
31.472
31.232
31.684
PP&E neto
13.745
13.070
12.444
13.987
14.902
14.215
15.032
16.285
17.241
17.966
18.177
18.254
23.496
25.260
26.413
25.258
20.780
21.792
19.647
21.553
22.967
24.080
27.197
25.405
PP&E bruto
13.745
13.070
12.444
13.987
14.902
14.215
15.032
16.285
17.241
17.966
18.177
18.254
23.496
25.260
26.413
25.258
20.780
21.792
19.647
21.553
22.967
24.080
27.197
25.405
Depreciación acumulada
26.855
26.502
27.267
30.635
31.729
31.542
34.115
35.658
37.491
39.437
39.655
36.212
40.918
41.974
45.163
45.655
42.228
43.716
46.368
49.477
52.181
53.804
57.430
54.635
Activos intangibles
2.073
1.755
1.510
1.581
8.922
5.255
5.141
5.380
6.372
5.957
5.856
5.363
4.826
4.174
5.089
4.241
7.343
6.420
6.186
5.979
5.577
4.717
4.262
3.139
Fondo de comercio
1.392
2.038
1.829
2.139
0
4.305
4.748
5.069
5.873
5.962
6.385
6.872
8.141
8.363
10.073
9.353
9.211
8.105
6.959
7.520
7.696
7.499
7.721
6.553
Pagaré por cobrar
0
0
0
0
0
0
0
0
61
89
144
876
0
0
0
0
0
0
0
0
0
1.339
220
185
Inversiones a largo plazo
3.249
2.600
1.912
1.057
1.841
2.786
3.093
2.959
3.281
2.700
2.925
4.767
3.785
4.962
5.252
5.321
2.773
15.644
13.334
12.958
8.121
7.671
6.975
6.048
Otros activos a largo plazo
1.819
1.761
1.383
1.779
1.235
1.334
1.572
1.988
1.704
1.413
2.051
992
3.691
3.511
3.723
3.450
3.228
3.999
4.298
4.322
2.689
1.956
2.808
3.160
Otros activos
1.392
2.038
1.829
2.139
0
4.305
4.748
5.069
5.873
5.962
6.385
6.872
8.141
8.363
10.073
9.353
9.211
8.105
6.959
7.520
7.696
7.499
7.721
6.553
Activos totales
35.087
N/A
33.602
-4%
33.916
+1%
35.670
+5%
45.291
+27%
46.802
+3%
50.860
+9%
51.268
+1%
59.393
+16%
61.175
+3%
64.327
+5%
64.382
+0%
71.359
+11%
70.836
-1%
76.496
+8%
78.768
+3%
86.556
+10%
86.950
+0%
80.292
-8%
87.383
+9%
84.472
-3%
77.395
-8%
80.415
+4%
76.174
-5%
Pasivos
Cuentas por pagar
2.892
2.457
2.601
2.777
4.755
3.763
2.734
2.786
4.738
5.121
4.696
4.505
4.861
4.020
4.610
4.971
5.122
5.087
5.291
7.826
8.434
6.741
6.923
5.484
Pasivos acumulados
0
0
0
0
0
0
0
0
0
0
0
1.801
1.875
1.512
1.661
1.708
1.587
1.374
2.955
4.202
3.524
2.294
2.713
2.160
Deuda a corto plazo
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Porción corriente de la deuda a largo plazo
0
0
0
259
3.695
3.171
6.239
2.393
3.379
3.995
4.253
3.269
3.564
4.096
3.789
2.497
5.509
3.743
3.395
3.420
3.844
2.532
2.979
2.950
Otros pasivos corrientes
2.274
2.202
2.167
5.349
5.531
5.548
7.322
6.501
7.451
7.361
8.383
5.228
5.593
4.608
5.257
5.704
11.111
6.400
4.639
4.633
4.638
4.304
4.424
5.817
Pasivos corrientes totales
5.166
4.659
4.769
8.385
13.980
12.482
16.295
11.680
15.568
16.477
17.332
14.803
15.893
14.236
15.317
14.880
23.329
16.604
16.280
20.081
20.440
15.871
17.039
16.411
Deuda a largo plazo
3.611
3.507
3.303
3.682
5.788
6.954
8.355
12.506
11.719
9.069
9.175
11.223
11.910
11.183
12.629
15.634
15.423
16.054
16.845
14.842
16.330
18.384
20.445
19.693
Impuesto sobre la renta diferido
0
0
0
699
1.441
2.061
2.167
2.093
2.467
2.628
2.511
2.849
3.420
3.381
3.317
2.731
1.787
2.280
1.447
1.499
1.543
1.140
1.005
953
Interés minoritario
396
388
332
482
531
971
1.151
1.132
1.253
1.246
1.224
678
581
629
761
919
1.055
853
670
1.289
1.350
1.368
1.284
1.143
Otros pasivos
9.367
9.557
10.079
5.381
5.503
5.208
5.321
6.380
6.982
7.616
9.505
7.718
11.941
10.491
12.665
10.767
9.908
9.662
11.322
8.880
5.236
5.354
5.042
4.779
Pasivos totales
18.540
N/A
18.111
-2%
18.482
+2%
18.628
+1%
27.243
+46%
27.675
+2%
33.289
+20%
33.791
+2%
37.989
+12%
37.036
-3%
39.747
+7%
37.271
-6%
43.745
+17%
39.920
-9%
44.689
+12%
44.931
+1%
51.502
+15%
45.453
-12%
46.564
+2%
46.591
+0%
44.899
-4%
42.117
-6%
44.815
+6%
42.979
-4%
Patrimonio
Acciones ordinarias
1.460
1.425
1.384
1.317
1.279
1.224
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.176
1.144
1.142
1.142
1.142
Ganancias retenidas
15.085
14.065
14.050
15.028
16.443
17.729
16.491
16.145
19.033
22.649
23.294
29.335
31.920
33.261
34.645
37.943
39.817
45.171
41.026
43.471
38.600
35.656
34.022
33.062
Otro patrimonio
0
0
0
697
326
174
96
156
1.195
314
110
3.400
5.482
3.521
4.014
5.282
5.939
4.850
8.474
3.855
171
1.520
436
1.009
Patrimonio total
16.545
N/A
15.490
-6%
15.433
0%
17.042
+10%
18.048
+6%
19.127
+6%
17.571
-8%
17.477
-1%
21.404
+22%
24.139
+13%
24.580
+2%
27.111
+10%
27.614
+2%
30.916
+12%
31.807
+3%
33.837
+6%
35.054
+4%
41.497
+18%
33.728
-19%
40.792
+21%
39.573
-3%
35.278
-11%
35.600
+1%
33.195
-7%
Total pasivos y patrimonio
35.085
N/A
33.602
-4%
33.916
+1%
35.670
+5%
45.291
+27%
46.802
+3%
50.860
+9%
51.268
+1%
59.393
+16%
61.175
+3%
64.327
+5%
64.382
+0%
71.359
+11%
70.836
-1%
76.496
+8%
78.768
+3%
86.556
+10%
86.950
+0%
80.292
-8%
87.383
+9%
84.472
-3%
77.395
-8%
80.415
+4%
76.174
-5%
Acciones en circulación
Acciones ordinarias en circulación
1.141
1.113
1.082
1.029
999
956
918
918
918
918
918
918
918
918
918
918
918
918
918
918
894
893
893
884
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