Akzo Nobel NV
F:AKU1

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Akzo Nobel NV Logo
Akzo Nobel NV
F:AKU1
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Price: 47.35 EUR -9.4% Market Closed
Market Cap: €8.1B

Balance Sheet

Balance Sheet Decomposition
Akzo Nobel NV

Balance Sheet
Akzo Nobel NV

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Balance Sheet
Currency: 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
Assets
Cash & Cash Equivalents
276
243
1 811
1 486
1 871
11 628
1 194
957
1 549
1 635
1 451
1 333
753
703
895
804
888
1 010
1 089
863
911
1 513
829
1 609
Cash
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
829
780
Cash Equivalents
276
243
1 811
1 486
1 871
11 628
1 194
957
1 549
1 635
1 451
1 333
753
703
895
804
888
1 010
1 089
863
911
1 513
0
829
Short-Term Investments
244
484
0
0
0
0
430
1 199
1 336
0
301
765
884
594
554
507
7 363
378
753
333
864
818
619
302
Total Receivables
2 672
2 565
2 761
2 910
2 919
2 083
2 762
2 406
2 632
2 937
2 698
2 536
2 680
2 679
2 732
1 935
2 091
2 100
1 964
2 302
2 389
2 578
2 606
2 577
Accounts Receivables
2 064
1 956
2 761
2 910
2 810
1 644
2 097
1 890
2 105
2 937
2 698
2 536
2 246
2 267
2 272
1 700
1 843
1 812
1 751
1 973
2 123
2 187
2 144
1 990
Other Receivables
608
609
0
0
109
439
665
516
527
0
0
0
434
412
460
235
248
288
213
329
266
391
462
587
Inventory
2 206
2 133
1 978
1 987
2 042
1 177
1 781
1 441
1 678
1 924
1 545
1 426
1 545
1 504
1 532
1 094
1 139
1 139
1 159
1 650
1 843
1 649
1 721
1 529
Other Current Assets
143
106
0
322
219
81
190
232
230
98
1 012
289
312
199
144
4 703
132
117
99
200
237
99
61
44
Total Current Assets
5 541
5 531
6 550
6 705
7 051
14 969
6 357
6 235
7 425
6 594
7 007
6 349
6 174
5 679
5 857
9 043
11 613
4 744
5 064
5 348
6 244
6 044
5 836
6 061
PP&E Net
4 402
3 967
3 535
3 432
3 346
2 203
3 357
3 474
3 384
3 705
3 739
3 589
3 835
4 003
4 190
1 832
1 748
2 074
1 945
2 104
2 259
2 296
2 440
2 333
PP&E Gross
4 402
3 967
3 535
3 432
3 346
2 203
3 357
3 474
3 384
0
3 739
3 589
3 835
4 003
4 190
1 832
1 748
2 074
1 945
2 104
2 259
2 296
2 440
2 333
Accumulated Depreciation
5 913
5 870
5 606
5 987
5 833
4 433
4 563
5 001
5 500
0
5 995
6 091
6 550
6 998
7 411
2 682
2 727
2 912
3 071
3 337
3 488
3 537
3 673
3 526
Intangible Assets
629
590
448
488
262
206
3 608
3 685
3 489
7 392
3 102
2 727
2 896
2 832
2 860
2 464
2 468
2 532
2 458
2 535
2 695
2 651
2 606
2 406
Goodwill
0
0
0
0
420
463
3 564
3 703
3 819
0
1 352
1 179
1 246
1 324
1 553
945
990
1 093
1 096
1 155
1 377
1 430
1 443
1 392
Note Receivable
0
0
0
0
0
0
0
0
0
0
287
256
232
189
135
131
130
336
331
360
362
299
158
57
Long-Term Investments
491
353
318
301
0
142
201
175
175
198
1 195
892
764
879
584
1 188
1 276
258
243
256
277
309
415
411
Other Long-Term Assets
1 726
1 513
1 100
1 499
1 706
1 260
1 647
1 608
1 802
2 466
1 146
1 071
1 152
1 057
1 017
575
559
1 947
2 040
2 120
1 527
1 529
1 351
1 292
Other Assets
0
0
0
0
420
463
3 564
3 703
3 819
0
1 352
1 179
1 246
1 324
1 553
945
990
1 093
1 096
1 155
1 377
1 430
1 443
1 392
Total Assets
12 789
N/A
11 954
-7%
11 951
0%
12 425
+4%
12 785
+3%
19 243
+51%
18 734
-3%
18 880
+1%
20 094
+6%
20 355
+1%
17 828
-12%
16 063
-10%
16 299
+1%
15 963
-2%
16 196
+1%
16 178
0%
18 784
+16%
12 984
-31%
13 177
+1%
13 878
+5%
14 741
+6%
14 558
-1%
14 249
-2%
13 952
-2%
Liabilities
Accounts Payable
0
0
0
0
2 331
1 051
1 584
1 522
1 807
3 369
2 509
2 369
2 513
2 469
2 500
1 883
1 963
1 690
1 786
2 112
2 319
5 385
2 279
2 157
Accrued Liabilities
351
329
0
0
0
153
229
233
291
0
258
361
367
400
418
269
225
232
265
264
234
275
245
298
Short-Term Debt
0
0
0
0
0
1 104
194
270
168
0
0
0
0
0
0
0
67
61
25
711
2 450
1 635
1 515
523
Current Portion of Long-Term Debt
984
485
560
357
410
531
1 144
114
739
494
662
961
811
430
87
973
532
108
94
845
93
763
182
669
Other Current Liabilities
2 054
2 514
3 177
3 397
917
1 590
2 542
2 415
2 256
964
1 672
1 358
1 259
1 298
1 208
3 197
893
911
923
937
650
581
509
560
Total Current Liabilities
3 389
3 328
3 737
3 754
3 658
4 429
5 693
4 554
5 261
4 827
5 101
5 049
4 950
4 597
4 213
6 322
3 680
3 002
3 093
4 869
5 746
5 706
4 730
4 207
Long-Term Debt
2 797
2 677
2 392
2 702
2 551
1 954
2 341
3 488
2 880
3 035
3 388
2 666
2 527
2 161
2 644
2 300
1 799
2 042
2 771
1 994
3 332
3 165
3 671
3 670
Deferred Income Tax
513
590
144
156
174
133
715
674
589
541
434
389
412
360
367
285
368
391
467
567
561
557
491
487
Minority Interest
137
140
140
161
119
97
450
470
525
529
464
427
477
496
481
442
204
218
204
211
215
224
242
163
Other Liabilities
3 855
2 717
2 933
2 237
2 139
1 598
2 072
1 919
1 855
2 392
2 677
1 938
2 143
1 865
1 938
964
899
981
896
812
554
584
541
766
Total Liabilities
10 691
N/A
9 452
-12%
9 346
-1%
9 010
-4%
8 641
-4%
8 211
-5%
11 271
+37%
11 105
-1%
11 110
+0%
11 324
+2%
12 064
+7%
10 469
-13%
10 509
+0%
9 479
-10%
9 643
+2%
10 313
+7%
6 950
-33%
6 634
-5%
7 431
+12%
8 453
+14%
10 408
+23%
10 236
-2%
9 675
-5%
9 293
-4%
Equity
Common Stock
572
572
0
0
574
525
463
465
467
469
478
485
492
498
504
505
512
100
95
91
87
85
85
86
Retained Earnings
1 036
223
0
0
0
10 705
8 179
8 084
8 515
8 520
5 068
5 226
4 897
5 349
5 347
5 125
10 972
6 719
6 524
5 846
4 936
4 948
5 068
5 374
Additional Paid In Capital
1 803
1 803
0
0
1 841
363
0
2
9
47
174
319
463
598
746
769
958
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
1 655
1 395
0
0
1 729
0
0
7
7
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Equity
896
1 045
2 605
3 415
0
561
1 179
783
14
5
44
436
62
39
44
534
608
469
873
512
690
711
579
801
Total Equity
2 098
N/A
2 502
+19%
2 605
+4%
3 415
+31%
4 144
+21%
11 032
+166%
7 463
-32%
7 775
+4%
8 984
+16%
9 031
+1%
5 764
-36%
5 594
-3%
5 790
+4%
6 484
+12%
6 553
+1%
5 865
-10%
11 834
+102%
6 350
-46%
5 746
-10%
5 425
-6%
4 333
-20%
4 322
0%
4 574
+6%
4 659
+2%
Total Liabilities & Equity
12 789
N/A
11 954
-7%
11 951
0%
12 425
+4%
12 785
+3%
19 243
+51%
18 734
-3%
18 880
+1%
20 094
+6%
20 355
+1%
17 828
-12%
16 063
-10%
16 299
+1%
15 963
-2%
16 196
+1%
16 178
0%
18 784
+16%
12 984
-31%
13 177
+1%
13 878
+5%
14 741
+6%
14 558
-1%
14 249
-2%
13 952
-2%
Shares Outstanding
Common Shares Outstanding
254
254
254
254
255
233
206
206
208
209
212
216
219
221
224
225
228
200
190
179
170
171
171
171
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