|
|
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
2024 |
|
2025 |
|
Veränderung in % |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Geschäftsvolumen |
Tsd. € |
|
3.093.579 |
|
3.570.124 |
|
4.323.318 |
|
5.374.453 |
|
5.819.243 |
|
6.245.794 |
|
7.285.700 |
|
7.793.647 |
|
7.948.975 |
|
8.596.105 |
|
8,1 |
Umsatz |
Tsd. € |
|
|
|
3.144.775 |
|
3.829.303 |
|
4.711.997 |
|
5.050.271 |
|
5.305.489 |
|
6.028.175 |
|
6.422.743 |
|
6.305.762 |
|
6.405.874 |
|
1,6 |
EBIT |
Tsd. € |
|
144.083 |
|
164.252 |
|
195.081 |
|
241.370 |
|
276.955 |
|
325.721 |
|
355.425 |
|
382.296 |
|
351.327 |
|
335.296 |
|
−4,6 |
EBT |
Tsd. € |
|
145.100 |
|
162.804 |
|
193.242 |
|
236.320 |
|
270.705 |
|
320.500 |
|
350.487 |
|
374.477 |
|
345.053 |
|
324.197 |
|
−6,0 |
|
|
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
2024 |
|
2025 |
|
Veränderung in % |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Gewinn- und Verlustrechnung |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Geschäftsvolumen |
Tsd. € |
|
3.093.579 |
|
3.570.124 |
|
4.323.318 |
|
5.374.453 |
|
5.819.243 |
|
6.245.794 |
|
7.285.700 |
|
7.793.647 |
|
7.948.975 |
|
8.596.105 |
|
8,1 |
Umsatz |
Tsd. € |
|
|
|
3.144.775 |
|
3.829.303 |
|
4.711.997 |
|
5.050.271 |
|
5.305.489 |
|
6.028.175 |
|
6.422.743 |
|
6.305.762 |
|
6.405.874 |
|
1,6 |
Umsatzkosten |
Tsd. € |
|
|
|
2.600.980 |
|
3.186.369 |
|
3.944.180 |
|
4.193.690 |
|
4.385.481 |
|
4.974.795 |
|
5.300.840 |
|
5.167.395 |
|
5.214.363 |
|
0,9 |
Bruttoergebnis vom Umsatz |
Tsd. € |
|
|
|
543.795 |
|
642.934 |
|
767.817 |
|
856.581 |
|
920.008 |
|
1.053.380 |
|
1.121.903 |
|
1.138.367 |
|
1.191.511 |
|
4,7 |
Vertriebskosten |
Tsd. € |
|
196.285 |
|
215.989 |
|
257.218 |
|
306.632 |
|
319.242 |
|
345.216 |
|
392.988 |
|
436.737 |
|
456.513 |
|
483.796 |
|
6,0 |
Verwaltungskosten |
Tsd. € |
|
153.037 |
|
173.396 |
|
205.688 |
|
249.607 |
|
286.532 |
|
282.625 |
|
340.848 |
|
356.806 |
|
382.935 |
|
422.735 |
|
10,4 |
Sonstige betriebliche Erträge |
Tsd. € |
|
10.340 |
|
9.842 |
|
15.053 |
|
29.792 |
|
26.148 |
|
33.554 |
|
35.881 |
|
53.936 |
|
52.408 |
|
50.316 |
|
−4,0 |
Betriebsergebnis (EBIT) |
Tsd. € |
|
144.083 |
|
164.252 |
|
195.081 |
|
241.370 |
|
276.955 |
|
325.721 |
|
355.425 |
|
382.296 |
|
351.327 |
|
335.296 |
|
−4,6 |
Finanzerträge |
Tsd. € |
|
3.512 |
|
1.133 |
|
1.338 |
|
1.229 |
|
1.073 |
|
1.415 |
|
1.512 |
|
6.905 |
|
18.815 |
|
16.277 |
|
−13,5 |
Finanzaufwendungen |
Tsd. € |
|
2.495 |
|
2.581 |
|
3.177 |
|
6.279 |
|
7.323 |
|
6.636 |
|
6.450 |
|
14.959 |
|
24.854 |
|
27.376 |
|
10,1 |
Ergebnis aus at-equity bewerteten Beteiligungen |
Tsd. € |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
235 |
|
−235 |
|
0 |
|
100,0 |
Ergebnis vor Steueren (EBT) |
Tsd. € |
|
145.100 |
|
162.804 |
|
193.242 |
|
236.320 |
|
270.705 |
|
320.500 |
|
350.487 |
|
374.477 |
|
345.053 |
|
324.197 |
|
−6,0 |
Steuern vom Einkommen und vom Ertrag |
Tsd. € |
|
41.729 |
|
48.242 |
|
56.101 |
|
65.836 |
|
78.158 |
|
89.054 |
|
99.369 |
|
108.965 |
|
100.202 |
|
95.873 |
|
−4,3 |
Ergebnis nach Steuern (EAT) |
Tsd. € |
|
103.371 |
|
114.562 |
|
137.141 |
|
170.484 |
|
192.547 |
|
231.446 |
|
251.118 |
|
265.512 |
|
244.851 |
|
228.324 |
|
−6,7 |
davon beherrsche Gesellschafter |
Tsd. € |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
−647 |
|
−887 |
|
−37,1 |
davon Anteil der Aktionäre der Bechtle AG |
Tsd. € |
|
103.371 |
|
114.562 |
|
137.141 |
|
170.484 |
|
192.547 |
|
231.446 |
|
251.118 |
|
265.512 |
|
245.498 |
|
229.211 |
|
−6,6 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Materialaufwand |
Tsd. € |
|
|
|
|
|
|
|
|
|
3.725.137 |
|
3.882.666 |
|
4.426.903 |
|
4.667.216 |
|
4.462.112 |
|
4.469.064 |
|
0,2 |
Rohertrag |
Tsd. € |
|
753.120 |
|
831.845 |
|
979.320 |
|
1.216.874 |
|
1.351.282 |
|
1.456.377 |
|
1.637.153 |
|
1.809.463 |
|
1.896.058 |
|
1.987.126 |
|
4,8 |
Personalaufwand |
Tsd. € |
|
459.377 |
|
507.712 |
|
590.660 |
|
734.421 |
|
819.531 |
|
879.072 |
|
983.051 |
|
1.091.083 |
|
1.173.579 |
|
1.241.482 |
|
5,8 |
Abschreibungen (auf Sachanlagen u. sonstige immaterielle Vermögenswerte ohne Goodwill) |
Tsd. € |
|
27.715 |
|
31.930 |
|
41.977 |
|
84.610 |
|
98.137 |
|
103.003 |
|
112.062 |
|
126.621 |
|
140.320 |
|
159.268 |
|
13,5 |
EBITDA |
Tsd. € |
|
171.798 |
|
196.182 |
|
237.058 |
|
325.980 |
|
375.092 |
|
428.724 |
|
467.487 |
|
508.917 |
|
491.647 |
|
494.564 |
|
0,6 |
Finanzergebnis |
Tsd. € |
|
1.017 |
|
−1.448 |
|
−1.839 |
|
−5.050 |
|
−6.250 |
|
−5.221 |
|
−4.938 |
|
−8.054 |
|
−6.039 |
|
−11.099 |
|
−83,8 |
|
|
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
2024 |
|
2025 |
|
Veränderung in % |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Bilanz (ausgewählte Positionen) |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Aktiva |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Langfristige Vermögenswerte |
Tsd. € |
|
361.226 |
|
415.196 |
|
659.258 |
|
846.371 |
|
958.890 |
|
984.199 |
|
1.115.178 |
|
1.427.315 |
|
1.579.178 |
|
1.885.008 |
|
19,4 |
Geschäfts- und Firmenwerte |
Tsd. € |
|
193.521 |
|
193.538 |
|
345.938 |
|
397.592 |
|
448.313 |
|
469.650 |
|
554.197 |
|
732.330 |
|
856.859 |
|
983.863 |
|
14,8 |
Sonstige immaterielle Vermögenswerte |
Tsd. € |
|
35.338 |
|
48.721 |
|
121.120 |
|
119.303 |
|
113.241 |
|
98.858 |
|
99.701 |
|
117.468 |
|
152.214 |
|
192.413 |
|
26,4 |
Sachanlagevermögen |
Tsd. € |
|
111.666 |
|
134.865 |
|
152.853 |
|
280.685 |
|
327.215 |
|
342.902 |
|
365.512 |
|
441.825 |
|
486.386 |
|
542.266 |
|
11,5 |
Anteile an at-equity bewerteten Beteiligungen |
Tsd. € |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
32.497 |
|
0 |
|
0 |
|
|
Forderungen aus L&L |
Tsd. € |
|
12.436 |
|
30.235 |
|
27.863 |
|
38.148 |
|
55.903 |
|
57.839 |
|
67.126 |
|
67.551 |
|
60.165 |
|
60.221 |
|
0,1 |
Latente Steuern |
Tsd. € |
|
4.798 |
|
4.004 |
|
4.713 |
|
3.914 |
|
6.770 |
|
8.924 |
|
9.451 |
|
10.638 |
|
8.528 |
|
7.991 |
|
−6,3 |
Sonstige Vermögenswerte |
Tsd. € |
|
3.467 |
|
3.833 |
|
6.771 |
|
6.729 |
|
7.448 |
|
6.026 |
|
19.191 |
|
25.006 |
|
15.026 |
|
98.254 |
|
553,9 |
Geld- und Wertpapieranlagen |
Tsd. € |
|
7.005 |
|
0 |
|
0 |
|
0 |
|
0 |
|
0 |
|
0 |
|
0 |
|
0 |
|
0 |
|
|
Kurzfristige Vermögenswerte |
Tsd. € |
|
901.107 |
|
1.028.188 |
|
1.367.906 |
|
1.548.296 |
|
1.728.226 |
|
2.035.569 |
|
2.332.694 |
|
2.375.874 |
|
2.638.103 |
|
2.689.647 |
|
2,0 |
Vorräte |
Tsd. € |
|
180.652 |
|
211.319 |
|
280.331 |
|
285.574 |
|
301.663 |
|
513.824 |
|
607.696 |
|
468.212 |
|
377.231 |
|
381.698 |
|
1,2 |
Forderungen aus L&L |
Tsd. € |
|
502.270 |
|
581.919 |
|
754.069 |
|
862.323 |
|
877.173 |
|
928.724 |
|
1.206.399 |
|
1.157.573 |
|
1.153.755 |
|
1.348.356 |
|
16,9 |
Sonstige Vermögenswerte |
Tsd. € |
|
61.562 |
|
58.783 |
|
81.227 |
|
126.180 |
|
143.928 |
|
153.698 |
|
207.450 |
|
262.729 |
|
370.858 |
|
474.335 |
|
27,9 |
Geld- und Wertpapieranlagen |
Tsd. € |
|
15.361 |
|
12.444 |
|
5.543 |
|
0 |
|
40.002 |
|
0 |
|
60.000 |
|
30.000 |
|
73.087 |
|
73.260 |
|
0,2 |
Liquide Mittel |
Tsd. € |
|
140.415 |
|
162.383 |
|
245.379 |
|
272.197 |
|
363.171 |
|
431.751 |
|
229.590 |
|
435.756 |
|
643.115 |
|
378.771 |
|
−41,1 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Passiva |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Eigenkapital |
Tsd. € |
|
694.103 |
|
777.283 |
|
883.204 |
|
1.014.842 |
|
1.162.029 |
|
1.353.114 |
|
1.538.319 |
|
1.742.612 |
|
1.915.070 |
|
2.052.255 |
|
7,2 |
Gezeichnetes Kapital |
Tsd. € |
|
21.000 |
|
42.000 |
|
42.000 |
|
42.000 |
|
42.000 |
|
126.000 |
|
126.000 |
|
126.000 |
|
126.000 |
|
126.000 |
|
0,0 |
Kapitalrücklagen |
Tsd. € |
|
145.228 |
|
124.228 |
|
124.228 |
|
124.228 |
|
124.228 |
|
40.228 |
|
40.228 |
|
66.913 |
|
68.930 |
|
69.990 |
|
1,5 |
Gewinnrücklagen |
Tsd. € |
|
527.875 |
|
611.055 |
|
716.976 |
|
848.614 |
|
995.801 |
|
1.186.886 |
|
1.372.091 |
|
1.549.699 |
|
1.716.516 |
|
1.853.528 |
|
8,0 |
Nicht beherrschende Anteile |
Tsd. € |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
3.624 |
|
2.737 |
|
−24,5 |
Langfristige Schulden |
Tsd. € |
|
117.959 |
|
127.267 |
|
464.893 |
|
566.709 |
|
599.887 |
|
499.533 |
|
464.919 |
|
784.876 |
|
694.043 |
|
791.863 |
|
14,1 |
Pensionsrückstellungen |
Tsd. € |
|
19.924 |
|
13.002 |
|
16.301 |
|
30.702 |
|
31.022 |
|
12.994 |
|
7.927 |
|
17.282 |
|
11.714 |
|
12.096 |
|
3,3 |
Sonstige Rückstellungen |
Tsd. € |
|
6.719 |
|
7.190 |
|
11.052 |
|
10.081 |
|
11.055 |
|
11.379 |
|
10.371 |
|
10.883 |
|
13.098 |
|
17.065 |
|
30,3 |
Finanzverbindlichkeiten |
Tsd. € |
|
51.744 |
|
69.917 |
|
380.640 |
|
373.874 |
|
393.541 |
|
310.941 |
|
261.895 |
|
524.116 |
|
404.180 |
|
400.852 |
|
−0,8 |
Sonstige Verbindlichkeiten |
Tsd. € |
|
5.874 |
|
2.292 |
|
4.858 |
|
98.025 |
|
108.590 |
|
103.830 |
|
100.328 |
|
138.435 |
|
181.068 |
|
193.380 |
|
6,8 |
Vertragsverbindlichkeiten |
Tsd. € |
|
- |
|
- |
|
10.895 |
|
19.353 |
|
20.884 |
|
19.790 |
|
49.628 |
|
54.533 |
|
35.090 |
|
44.936 |
|
28,1 |
Kurzfristige Schulden |
Tsd. € |
|
457.276 |
|
538.834 |
|
679.067 |
|
813.116 |
|
925.200 |
|
1.167.121 |
|
1.444.634 |
|
1.275.701 |
|
1.608.168 |
|
1.730.537 |
|
7,6 |
Sonstige Rückstellungen |
Tsd. € |
|
6.657 |
|
7.129 |
|
9.162 |
|
12.805 |
|
22.831 |
|
27.318 |
|
30.767 |
|
19.020 |
|
18.482 |
|
20.013 |
|
8,3 |
Finanzverbindlichkeiten |
Tsd. € |
|
9.745 |
|
58.930 |
|
12.872 |
|
13.801 |
|
18.913 |
|
34.537 |
|
111.380 |
|
16.398 |
|
181.278 |
|
71.782 |
|
−60,4 |
Verbindlichkeiten aus L&L |
Tsd. € |
|
242.120 |
|
237.160 |
|
372.338 |
|
406.807 |
|
425.875 |
|
605.145 |
|
699.030 |
|
629.206 |
|
826.978 |
|
958.312 |
|
15,9 |
Sonstige Verbindlichkeiten |
Tsd. € |
|
115.314 |
|
131.118 |
|
159.957 |
|
231.776 |
|
253.921 |
|
306.932 |
|
379.242 |
|
356.209 |
|
345.829 |
|
385.665 |
|
11,5 |
Vertragsverbindlichkeiten |
Tsd. € |
|
- |
|
- |
|
96.120 |
|
105.369 |
|
130.594 |
|
161.643 |
|
193.392 |
|
226.074 |
|
212.205 |
|
268.869 |
|
26,7 |
Bilanzsumme |
Tsd. € |
|
1.269.338 |
|
1.443.384 |
|
2.027.164 |
|
2.394.667 |
|
2.687.116 |
|
3.019.768 |
|
3.447.872 |
|
3.803.189 |
|
4.217.281 |
|
4.574.655 |
|
8,5 |
|
|
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
2024 |
|
2025 |
|
Veränderung in % |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cashflow & Investitionen |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Cashflow aus betrieblicher Tätigkeit |
Tsd. € |
|
53.363 |
|
54.261 |
|
140.525 |
|
185.973 |
|
317.453 |
|
284.492 |
|
116.651 |
|
459.031 |
|
558.151 |
|
289.780 |
|
−48,1 |
Cashflow aus Investitionstätigkeit |
Tsd. € |
|
−41.404 |
|
−62.675 |
|
−280.612 |
|
−72.122 |
|
−146.482 |
|
−42.940 |
|
−224.323 |
|
−282.553 |
|
−206.268 |
|
−251.097 |
|
−21,7 |
Cashflow aus Finanzierungstätigkeit |
Tsd. € |
|
−36.318 |
|
33.578 |
|
221.367 |
|
−89.685 |
|
−78.726 |
|
−179.356 |
|
−100.210 |
|
28.246 |
|
−145.969 |
|
−300.997 |
|
−106,2 |
Liquidität inkl. Geld- und Wertpapieranlagen |
Tsd. € |
|
162.781 |
|
174.827 |
|
250.922 |
|
272.197 |
|
403.173 |
|
431.751 |
|
289.590 |
|
465.756 |
|
716.202 |
|
452.031 |
|
−36,9 |
Free Cashflow |
Tsd. € |
|
−7.049 |
|
−24.129 |
|
−147.185 |
|
109.517 |
|
204.135 |
|
218.578 |
|
−29.816 |
|
151.215 |
|
377.035 |
|
20.853 |
|
−94,5 |
Investitionen (in Sachanlagen u. sonstige immaterielle Vermögenswerte ohne Goodwill) |
Tsd. € |
|
39.604 |
|
66.866 |
|
56.626 |
|
47.981 |
|
66.194 |
|
58.385 |
|
82.004 |
|
95.235 |
|
88.667 |
|
121.017 |
|
36,5 |
Investitionsquote |
% |
|
28,49 |
|
40,45 |
|
24,75 |
|
17,20 |
|
22,53 |
|
19,18 |
|
25,98 |
|
26,96 |
|
21,79 |
|
25,56 |
|
|
|
|
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
2024 |
|
2025 |
|
Veränderung in % |
|||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Aktien-Kennzahlen1 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||
Jahresschlusskurs |
€ |
|
98,82 |
|
69,52 |
|
67,85 |
|
125,20 |
|
178,40 |
|
62,94 |
|
33,06 |
|
45,39 |
|
31,10 |
|
43,68 |
|
40,5 |
|||||||||
Jahreshoch |
€ |
|
104,55 |
|
72,71 |
|
89,90 |
|
127,60 |
|
188,40 |
|
69,14 |
|
63,12 |
|
47,95 |
|
50,25 |
|
44,40 |
|
|
|||||||||
Jahrestief |
€ |
|
73,70 |
|
46,50 |
|
63,85 |
|
62,30 |
|
85,05 |
|
49,85 |
|
32,79 |
|
32,68 |
|
30,36 |
|
29,60 |
|
|
|||||||||
Anzahl Aktien |
Tsd. Stück |
|
21.000 |
|
42.000 |
|
42.000 |
|
42.000 |
|
42.000 |
|
126.000 |
|
126.000 |
|
126.000 |
|
126.000 |
|
126.000 |
|
|
|||||||||
Marktkapitalisierung (31.12.) |
€ |
|
2.075.220 |
|
2.919.840 |
|
2.849.700 |
|
5.258.400 |
|
7.492.800 |
|
7.930.440 |
|
4.165.560 |
|
5.719.140 |
|
3.918.600 |
|
5.503.680 |
|
40,5 |
|||||||||
Durchschnittlicher Tagesumsatz2 |
Stück |
|
30.515 |
|
45.637 |
|
101.037 |
|
106.634 |
|
140.482 |
|
138.224 |
|
266.062 |
|
176.306 |
|
187.306 |
|
296.124 |
|
58,1 |
|||||||||
Durchschnittlicher Tagesumsatz2 |
€ |
|
2.789.577 |
|
3.604.891 |
|
7.668.425 |
|
9.980.675 |
|
20.657.614 |
|
13.778.684 |
|
11.172.305 |
|
7.195.207 |
|
7.644.556 |
|
10.929.297 |
|
43,0 |
|||||||||
Dividende je Aktie |
€ |
|
1,50 |
|
0,90 |
|
1,00 |
|
1,20 |
|
1,35 |
|
0,55 |
|
0,65 |
|
0,70 |
|
0,70 |
|
0,703 |
|
0,0 |
|||||||||
Dividendensumme |
Tsd. € |
|
31.500 |
|
37.800 |
|
42.000 |
|
50.400 |
|
56.700 |
|
69.300 |
|
81.900 |
|
88.200 |
|
88.200 |
|
88.2003 |
|
0,0 |
|||||||||
Ausschüttungsquote |
% |
|
30,5 |
|
33,0 |
|
30,6 |
|
29,6 |
|
29,4 |
|
29,9 |
|
32,6 |
|
33,2 |
|
35,9 |
|
38,53 |
|
|
|||||||||
Dividendenrendite (31.12.) |
% |
|
1,5 |
|
1,3 |
|
1,5 |
|
1,0 |
|
0,8 |
|
0,9 |
|
2,0 |
|
1,5 |
|
2,3 |
|
1,63 |
|
|
|||||||||
Unternehmenswert |
Tsd. € |
|
2.137.406 |
|
3.032.716 |
|
3.178.949 |
|
5.734.381 |
|
7.935.616 |
|
8.267.923 |
|
4.796.742 |
|
6.335.824 |
|
4.399.554 |
|
6.188.684 |
|
40,7 |
|||||||||
Unverwässertes Ergebnis je Aktie |
€ |
|
4,92 |
|
2,73 |
|
3,27 |
|
4,06 |
|
4,58 |
|
1,84 |
|
1,99 |
|
2,11 |
|
1,95 |
|
1,82 |
|
−6,6 |
|||||||||
Cashflow je Aktie |
€ |
|
2,54 |
|
1,29 |
|
3,35 |
|
4,43 |
|
7,56 |
|
2,26 |
|
0,93 |
|
3,64 |
|
4,434 |
|
2,30 |
|
−48,1 |
|||||||||
Buchwert je Aktie (Eigenkapital / durchschnittliche Anzahl Aktien) |
€ |
|
33,05 |
|
18,51 |
|
21,03 |
|
24,16 |
|
27,67 |
|
10,74 |
|
12,21 |
|
13,83 |
|
15,20 |
|
16,29 |
|
7,2 |
|||||||||
Kurs-Gewinn-Verhältnis (KGV) |
|
|
20,1 |
|
25,5 |
|
20,8 |
|
30,8 |
|
38,9 |
|
34,3 |
|
16,6 |
|
21,5 |
|
16,0 |
|
24,0 |
|
50,4 |
|||||||||
EV/EBITDA |
|
|
12,4 |
|
15,5 |
|
13,4 |
|
17,6 |
|
21,2 |
|
19,3 |
|
10,3 |
|
12,4 |
|
8,9 |
|
12,5 |
|
39,8 |
|||||||||
EV/EBIT |
|
|
14,8 |
|
18,5 |
|
16,3 |
|
23,8 |
|
28,7 |
|
25,4 |
|
13,5 |
|
16,6 |
|
12,5 |
|
18,5 |
|
47,4 |
|||||||||
EV/EBT |
|
|
14,7 |
|
18,6 |
|
16,5 |
|
24,3 |
|
29,3 |
|
25,8 |
|
13,7 |
|
16,9 |
|
12,8 |
|
19,1 |
|
49,7 |
|||||||||
EV/EAT |
|
|
20,7 |
|
26,5 |
|
23,2 |
|
33,6 |
|
41,2 |
|
35,7 |
|
19,1 |
|
23,9 |
|
17,9 |
|
27,0 |
|
50,7 |
|||||||||
EV/Umsatz |
|
|
|
|
1,0 |
|
0,8 |
|
1,2 |
|
1,6 |
|
1,6 |
|
0,8 |
|
1,0 |
|
0,7 |
|
1,0 |
|
38,5 |
|||||||||
|
||||||||||||||||||||||||||||||||
|
|
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
2024 |
|
2025 |
|
Veränderung in % |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Personal |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Beschäftigte1 (31.12.) |
|
|
7.667 |
|
8.353 |
|
10.005 |
|
11.487 |
|
12.180 |
|
12.880 |
|
14.046 |
|
15.159 |
|
15.801 |
|
16.360 |
|
3,5 |
|||
Auszubildende (31.12.) (inklusive Abwesende) |
|
500 |
|
553 |
|
648 |
|
703 |
|
687 |
|
691 |
|
793 |
|
842 |
|
883 |
|
807 |
|
−8,6 |
||||
Beschäftigte (Jahresdurchschnitt)1 |
|
|
7.428 |
|
7.968 |
|
9.083 |
|
10.899 |
|
11.946 |
|
12.519 |
|
13.384 |
|
14.649 |
|
15.441 |
|
15.995 |
|
3,6 |
|||
Personalaufwand pro Kopf (FTEs im Jahresdurchschnitt, ohne Abwesende) |
|
|
|
|
|
|
|
|
|
72,7 |
|
74,6 |
|
78,3 |
|
79,2 |
|
80,7 |
|
82,9 |
|
2,8 |
||||
Vollzeitstellen (FTEs im Jahresdurchschnitt, ohne Abwesende) |
|
|
|
|
|
|
|
|
|
11.271 |
|
11.785 |
|
12.561 |
|
13.775 |
|
14.543 |
|
14.968 |
|
2,9 |
||||
Vollzeitstellen (FTEs im Jahresdurchschnitt, ohne Abwesende und Auszubildende) |
|
|
|
|
|
|
|
|
|
10.622 |
|
11.162 |
|
11.878 |
|
13.026 |
|
13.763 |
|
14.181 |
|
3,0 |
||||
Personalaufwandsquote |
% |
|
|
|
16,1 |
|
15,4 |
|
15,6 |
|
16,2 |
|
16,6 |
|
16,3 |
|
17,0 |
|
18,6 |
|
19,4 |
|
|
|||
Personalintensität |
% |
|
61,0 |
|
61,0 |
|
60,3 |
|
60,4 |
|
60,6 |
|
60,4 |
|
60,0 |
|
60,3 |
|
61,9 |
|
62,5 |
|
|
|||
|
||||||||||||||||||||||||||
|
|
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
2024 |
|
2025 |
|
Veränderung in % |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Rentabilitätskennzahlen |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Rohertragsmarge |
% |
|
|
|
26,5 |
|
25,6 |
|
25,8 |
|
26,8 |
|
27,5 |
|
27,2 |
|
28,2 |
|
30,1 |
|
31,0 |
|
|
|||
Bruttomarge |
% |
|
|
|
17,3 |
|
16,8 |
|
16,3 |
|
17,0 |
|
17,3 |
|
17,5 |
|
17,5 |
|
18,1 |
|
18,6 |
|
|
|||
EBITDA-Marge |
% |
|
|
|
6,2 |
|
6,2 |
|
6,9 |
|
7,4 |
|
8,1 |
|
7,8 |
|
7,9 |
|
7,8 |
|
7,7 |
|
|
|||
EBIT-Marge |
% |
|
|
|
5,2 |
|
5,1 |
|
5,1 |
|
5,5 |
|
6,1 |
|
5,9 |
|
6,0 |
|
5,6 |
|
5,2 |
|
|
|||
EBT-Marge |
% |
|
|
|
5,2 |
|
5,0 |
|
5,0 |
|
5,4 |
|
6,0 |
|
5,8 |
|
5,8 |
|
5,5 |
|
5,1 |
|
|
|||
EAT-Marge |
% |
|
|
|
3,6 |
|
3,6 |
|
3,6 |
|
3,8 |
|
4,4 |
|
4,2 |
|
4,1 |
|
3,9 |
|
3,6 |
|
|
|||
Umsatz je Mitarbeiter:in |
Tsd. € |
|
|
|
|
|
|
|
|
|
475,5 |
|
475,3 |
|
507,5 |
|
493,1 |
|
458,2 |
|
451,7 |
|
−1,4 |
|||
EBIT je Mitarbeiter:in |
Tsd. € |
|
|
|
|
|
|
|
|
|
26,1 |
|
29,2 |
|
29,9 |
|
29,3 |
|
25,5 |
|
23,6 |
|
−7,4 |
|||
Eigenkapitalrendite |
% |
|
17,1 |
|
16,9 |
|
18,1 |
|
19,8 |
|
19,5 |
|
20,4 |
|
19,1 |
|
17,8 |
|
14,4 |
|
12,2 |
|
|
|||
Gesamtkapitalrendite |
% |
|
9,6 |
|
9,6 |
|
9,1 |
|
8,5 |
|
8,3 |
|
9,0 |
|
8,5 |
|
8,4 |
|
7,2 |
|
6,2 |
|
|
|||
ROA |
% |
|
13,1 |
|
13,4 |
|
12,6 |
|
11,5 |
|
11,5 |
|
12,3 |
|
11,8 |
|
11,4 |
|
9,41 |
|
8,2 |
|
|
|||
ROE |
% |
|
24,0 |
|
24,4 |
|
25,8 |
|
28,1 |
|
28,0 |
|
28,8 |
|
27,1 |
|
25,6 |
|
20,7 |
|
18,0 |
|
|
|||
ROCE |
% |
|
24,0 |
|
22,3 |
|
20,6 |
|
18,7 |
|
19,8 |
|
22,2 |
|
20,1 |
|
18,9 |
|
16,5 |
|
14,9 |
|
|
|||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Bilanzkennzahlen |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Anlagenintensität des Anlagevermögens |
% |
|
28,5 |
|
28,8 |
|
32,5 |
|
35,3 |
|
35,7 |
|
32,6 |
|
32,3 |
|
37,5 |
|
37,51 |
|
41,2 |
|
|
|||
Arbeitsintensität des Umlaufvermögens |
% |
|
71,0 |
|
71,2 |
|
67,5 |
|
64,7 |
|
64,3 |
|
67,4 |
|
67,7 |
|
62,5 |
|
62,6 |
|
58,8 |
|
|
|||
Eigenkapitalquote |
% |
|
54,7 |
|
53,9 |
|
43,6 |
|
42,4 |
|
43,2 |
|
44,8 |
|
44,6 |
|
45,8 |
|
45,4 |
|
44,9 |
|
|
|||
Fremdkapitalquote |
% |
|
45,3 |
|
46,1 |
|
56,4 |
|
57,6 |
|
56,8 |
|
55,2 |
|
55,4 |
|
54,2 |
|
54,6 |
|
55,1 |
|
|
|||
Vermögensstruktur |
% |
|
40,1 |
|
40,4 |
|
48,2 |
|
54,7 |
|
55,5 |
|
48,4 |
|
47,8 |
|
60,1 |
|
59,9 |
|
70,1 |
|
|
|||
Kapitalstruktur |
% |
|
120,7 |
|
116,7 |
|
77,2 |
|
73,5 |
|
76,2 |
|
81,2 |
|
80,6 |
|
84,6 |
|
83,2 |
|
81,4 |
|
|
|||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Finanzkennzahlen |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Nettoverschuldung |
Tsd. € |
|
−101.292 |
|
−45.980 |
|
142.590 |
|
115.478 |
|
9.281 |
|
−86.273 |
|
83.685 |
|
74.758 |
|
−130.744 |
|
20.603 |
|
−115,8 |
|||
Anteil langfristige Schulden an Bilanzsumme |
% |
|
9,3 |
|
8,8 |
|
22,9 |
|
23,7 |
|
22,3 |
|
16,5 |
|
13,5 |
|
20,6 |
|
16,5 |
|
17,3 |
|
|
|||
Anteil kurz- u. langfristiger Finanzverb. an Bilanzsumme |
% |
|
4,8 |
|
8,9 |
|
19,4 |
|
16,2 |
|
15,3 |
|
11,4 |
|
10,8 |
|
14,2 |
|
13,9 |
|
10,3 |
|
|
|||
Verschuldungsgrad |
|
|
0,83 |
|
0,86 |
|
1,30 |
|
1,36 |
|
1,31 |
|
1,23 |
|
1,24 |
|
1,18 |
|
1,20 |
|
1,23 |
|
2,2 |
|||
Working Capital |
Tsd. € |
|
375.645 |
|
492.865 |
|
580.794 |
|
647.728 |
|
652.674 |
|
733.990 |
|
976.564 |
|
828.538 |
|
560.842 |
|
500.548 |
|
−10,8 |
|||
Working Capital zu Geschäftsvolumen |
% |
|
12,1 |
|
13,8 |
|
13,4 |
|
12,1 |
|
11,2 |
|
11,8 |
|
13,4 |
|
10,6 |
|
7,1 |
|
5,8 |
|
|
|||
Working Capital zu Bilanzsumme |
% |
|
29,6 |
|
34,1 |
|
28,7 |
|
27,0 |
|
24,3 |
|
24,3 |
|
28,3 |
|
21,8 |
|
13,3 |
|
10,9 |
|
|
|||
Capital Employed |
Tsd. € |
|
600.997 |
|
738.029 |
|
948.346 |
|
1.288.671 |
|
1.395.427 |
|
1.469.558 |
|
1.767.015 |
|
2.017.731 |
|
2.126.890 |
|
2.247.697 |
|
5,7 |
|||
Capital Employed zu Bilanzsumme |
% |
|
47,3 |
|
51,1 |
|
46,8 |
|
53,8 |
|
51,9 |
|
48,7 |
|
51,2 |
|
53,1 |
|
50,4 |
|
49,1 |
|
|
|||
Capital Employed zu Geschäftsvolumen |
% |
|
19,4 |
|
20,7 |
|
21,9 |
|
24,0 |
|
24,0 |
|
23,5 |
|
24,3 |
|
25,9 |
|
26,8 |
|
26,1 |
|
|
|||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Strukturkennzahlen |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||
Umschlagshäufigkeit der Vorräte |
|
|
17,1 |
|
16,9 |
|
15,4 |
|
18,8 |
|
19,3 |
|
12,2 |
|
12,0 |
|
16,6 |
|
21,1 |
|
22,5 |
|
6,9 |
|||
Vorratshaltung in Relation zum Geschäftsvolumen |
% |
|
5,8 |
|
5,9 |
|
6,5 |
|
5,3 |
|
5,2 |
|
8,2 |
|
8,3 |
|
6,0 |
|
4,7 |
|
4,4 |
|
|
|||
Umschlagshäufigkeit der Forderungen |
|
9,4 |
|
9,4 |
|
9,3 |
|
8,9 |
|
9,1 |
|
8,9 |
|
8,9 |
|
8,9 |
|
9,5 |
|
10,1 |
|
5,8 |
||||
Umschlagshäufigkeit des Kapitals |
|
2,8 |
|
2,9 |
|
2,8 |
|
2,6 |
|
2,4 |
|
2,4 |
|
2,4 |
|
2,3 |
|
2,1 |
|
2,1 |
|
−1,3 |
||||
Forderungslaufzeit in Tagen |
|
38,7 |
|
38,7 |
|
39,2 |
|
41,0 |
|
40,0 |
|
40,9 |
|
41,1 |
|
40,9 |
|
38,3 |
|
36,2 |
|
−5,5 |
||||
|
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