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Capgemini SE
OTC:CAPMF

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Capgemini SE
OTC:CAPMF
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Price: 125.02 USD -2.04% Market Closed
Market Cap: $21.2B

Balance Sheet

Balance Sheet Decomposition
Capgemini SE

Balance Sheet
Capgemini SE

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Balance Sheet
Currency: EUR
Dec-2001 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
Assets
Cash & Cash Equivalents
987
862
1 221
1 252
2 221
2 902
2 242
1 868
2 603
2 376
2 296
2 098
1 715
2 231
2 066
2 036
2 156
2 189
2 674
3 174
3 514
4 188
3 697
3 057
Cash
0
0
0
251
416
442
648
578
494
464
419
488
538
563
116
587
659
713
754
1 253
1 863
2 063
1 161
1 088
Cash Equivalents
987
862
1 221
1 001
1 805
2 460
1 594
1 290
2 109
1 912
1 877
1 610
1 177
1 668
1 950
1 449
1 497
1 476
1 920
1 921
1 651
2 125
2 536
1 969
Total Receivables
2 498
2 088
1 731
1 853
1 914
2 159
2 558
2 511
2 218
2 598
2 944
2 959
2 853
3 157
3 662
3 475
3 934
3 665
3 673
4 355
5 126
5 768
5 663
5 820
Accounts Receivables
2 068
1 550
1 346
1 751
1 771
1 964
2 222
2 321
1 973
2 254
2 570
2 431
2 484
2 757
3 055
2 981
4 100
3 187
3 297
3 836
4 489
5 113
4 956
5 076
Other Receivables
430
538
385
102
143
195
336
190
245
344
374
528
369
400
607
494
166
478
376
519
637
655
707
744
Other Current Assets
0
0
0
156
134
118
134
108
106
119
166
0
171
250
0
358
0
300
216
310
359
386
384
431
Total Current Assets
3 485
2 950
2 952
3 261
4 269
5 179
4 934
4 487
4 927
5 093
5 406
5 057
4 739
5 638
5 728
5 869
6 090
6 154
6 563
7 839
8 999
10 342
9 744
9 308
PP&E Net
490
512
471
449
399
375
442
422
421
499
547
542
494
515
763
754
749
785
1 500
1 692
1 703
1 597
1 571
1 617
PP&E Gross
490
512
471
449
399
375
442
422
421
499
547
0
494
515
0
754
0
785
1 500
1 692
1 703
1 597
1 571
1 617
Accumulated Depreciation
541
592
614
665
584
531
570
530
593
727
847
0
816
949
0
1 219
0
1 176
1 552
1 760
2 099
2 234
2 358
2 507
Intangible Assets
952
799
744
189
142
122
171
140
116
169
154
192
166
158
848
813
681
697
645
1 100
1 003
906
798
837
Goodwill
878
829
1 105
1 774
1 809
1 849
2 577
2 726
2 750
3 201
3 768
3 702
3 601
3 784
7 055
7 176
6 830
7 431
7 662
9 795
10 633
11 090
11 213
12 343
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
63
39
0
83
0
79
89
183
259
218
216
262
Long-Term Investments
89
85
88
0
0
0
0
23
17
1
4
0
0
71
0
119
0
120
128
163
161
168
172
171
Other Long-Term Assets
863
687
671
963
992
1 183
1 003
931
982
1 005
1 135
1 157
1 113
1 254
1 869
1 645
1 594
1 232
1 548
1 182
1 275
1 158
986
1 122
Other Assets
878
829
1 105
1 774
1 809
1 849
2 577
2 726
2 750
3 201
3 768
3 702
3 601
3 784
7 055
7 176
6 830
7 431
7 662
9 795
10 633
11 090
11 213
12 343
Total Assets
6 757
N/A
5 862
-13%
6 031
+3%
6 636
+10%
7 611
+15%
8 708
+14%
9 127
+5%
8 729
-4%
9 213
+6%
9 968
+8%
11 014
+10%
10 650
-3%
10 176
-4%
11 459
+13%
16 263
+42%
16 459
+1%
15 944
-3%
16 498
+3%
18 135
+10%
21 954
+21%
24 033
+9%
25 479
+6%
24 700
-3%
25 660
+4%
Liabilities
Accounts Payable
1 708
1 620
1 384
1 544
1 881
2 019
863
821
812
957
944
2 335
920
1 015
2 724
1 105
2 837
1 203
1 159
1 215
1 639
1 731
1 558
1 657
Accrued Liabilities
0
0
0
0
0
0
1 226
1 241
1 180
1 329
1 380
0
1 352
1 514
0
1 703
0
1 741
1 852
2 143
2 722
3 018
3 010
3 036
Short-Term Debt
169
242
233
200
0
0
0
0
0
0
0
0
0
0
0
0
0
0
11
8
10
7
19
2
Current Portion of Long-Term Debt
0
0
0
0
171
107
277
47
278
201
687
99
133
102
652
125
589
83
927
1 230
351
1 352
907
1 123
Other Current Liabilities
181
59
83
651
695
820
889
896
724
798
966
973
978
1 101
981
1 035
1 071
1 203
1 171
1 379
1 795
1 957
1 755
1 891
Total Current Liabilities
2 058
1 921
1 700
2 395
2 747
2 946
3 255
3 005
2 994
3 285
3 977
3 407
3 383
3 732
4 357
3 968
4 497
4 230
5 120
5 975
6 517
8 065
7 249
7 709
Long-Term Debt
120
155
722
768
1 145
1 160
1 059
987
1 057
1 102
1 135
1 131
906
914
3 161
3 287
2 783
3 274
3 156
7 808
7 281
6 188
5 669
4 952
Deferred Income Tax
0
0
0
95
121
118
138
138
153
178
183
157
158
158
221
227
172
180
185
230
294
308
275
267
Minority Interest
39
29
0
0
0
0
0
0
0
7
27
36
33
26
26
13
4
1
5
12
12
16
19
22
Other Liabilities
237
252
258
622
848
787
824
660
796
1 096
1 436
1 437
1 238
1 572
1 611
1 692
1 532
1 335
1 255
1 826
1 462
1 175
1 034
935
Total Liabilities
2 454
N/A
2 357
-4%
2 680
+14%
3 880
+45%
4 861
+25%
5 011
+3%
5 276
+5%
4 790
-9%
5 000
+4%
5 654
+13%
6 758
+20%
6 168
-9%
5 718
-7%
6 402
+12%
9 376
+46%
9 187
-2%
8 988
-2%
9 018
+0%
9 711
+8%
15 851
+63%
15 566
-2%
15 752
+1%
14 246
-10%
13 885
-3%
Equity
Common Stock
1 002
1 004
1 049
1 051
1 053
1 153
1 164
1 167
1 233
1 246
1 246
1 294
1 283
1 309
0
1 373
1 348
1 338
1 355
1 350
1 379
1 389
1 381
1 371
Retained Earnings
1 189
438
82
521
532
115
5
83
138
193
135
212
1 246
738
0
2 446
2 439
3 163
3 919
1 703
3 479
4 632
5 591
7 212
Additional Paid In Capital
2 112
2 063
2 220
2 226
2 229
2 659
2 682
2 689
2 842
2 875
2 875
2 976
2 930
3 010
0
3 453
3 169
2 979
3 150
3 050
3 609
3 706
3 482
3 192
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
9
0
0
0
0
0
0
0
0
0
0
0
Other Equity
0
0
0
0
0
0
0
0
0
0
0
0
992
0
6 887
0
0
0
0
0
0
0
0
0
Total Equity
4 303
N/A
3 505
-19%
3 351
-4%
2 756
-18%
2 750
0%
3 697
+34%
3 851
+4%
3 939
+2%
4 213
+7%
4 314
+2%
4 256
-1%
4 482
+5%
4 458
-1%
5 057
+13%
6 887
+36%
7 272
+6%
6 956
-4%
7 480
+8%
8 424
+13%
6 103
-28%
8 467
+39%
9 727
+15%
10 454
+7%
11 775
+13%
Total Liabilities & Equity
6 757
N/A
5 862
-13%
6 031
+3%
6 636
+10%
7 611
+15%
8 708
+14%
9 127
+5%
8 729
-4%
9 213
+6%
9 968
+8%
11 014
+10%
10 650
-3%
10 176
-4%
11 459
+13%
16 263
+42%
16 459
+1%
15 944
-3%
16 498
+3%
18 135
+10%
21 954
+21%
24 033
+9%
25 479
+6%
24 700
-3%
25 660
+4%
Shares Outstanding
Common Shares Outstanding
125
125
131
131
131
144
145
143
152
154
154
161
159
162
171
168
168
167
169
168
172
172
172
170
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