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Compagnie De l'odet SE
OTC:FCODF

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Compagnie De l'odet SE
OTC:FCODF
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Price: 1 527.38 USD
Market Cap: $6.5B

Balance Sheet

Balance Sheet Decomposition
Compagnie De l'odet SE

Balance Sheet
Compagnie De l'odet 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
304
249
235
251
325
614
370
395
417
332
588
1 091
1 320
1 163
1 424
1 349
3 099
4 785
2 943
2 220
4 596
7 802
5 630
5 187
Cash
0
0
0
0
0
0
0
328
337
282
503
967
1 142
906
1 091
1 149
1 491
1 615
1 190
1 643
3 591
3 926
3 018
1 915
Cash Equivalents
304
249
235
251
325
614
370
67
80
50
85
124
178
257
332
200
1 608
3 170
1 753
577
1 006
3 876
2 612
3 272
Short-Term Investments
344
299
237
457
0
0
0
12
2
325
5
12
14
3
3
1
76
1 081
235
1 610
1 488
1 116
1 609
721
Total Receivables
1 371
1 338
1 326
1 331
1 551
1 494
1 687
1 695
1 588
1 747
1 923
4 230
4 222
4 431
4 793
4 805
7 641
7 720
8 136
6 685
7 442
6 806
6 825
704
Accounts Receivables
1 225
1 156
1 119
1 136
1 503
1 173
1 366
1 304
1 222
1 337
1 418
3 996
3 886
4 350
4 660
4 694
7 153
7 556
7 727
6 526
7 300
6 601
6 592
688
Other Receivables
146
182
207
195
48
321
321
391
366
410
505
234
336
81
133
111
488
164
409
159
142
206
233
15
Inventory
157
181
128
115
137
136
147
143
145
175
241
290
349
278
340
369
1 171
1 174
1 359
635
596
605
1 308
214
Other Current Assets
0
0
0
0
869
25
80
21
19
22
168
271
109
87
94
77
535
660
758
895
416
1 631
3 193
13
Total Current Assets
2 177
2 067
1 926
2 154
2 881
2 270
2 284
2 265
2 171
2 601
2 924
5 894
6 015
5 962
6 654
6 600
12 522
15 419
13 430
12 044
14 538
17 959
18 565
6 838
PP&E Net
601
669
679
800
813
815
927
991
986
1 092
1 180
1 536
1 609
1 835
2 151
2 271
3 108
4 292
4 335
4 065
3 605
2 576
3 168
569
PP&E Gross
601
669
679
800
813
815
927
991
986
1 092
1 180
1 536
1 609
1 835
2 151
2 271
3 108
4 292
4 335
4 065
3 605
2 576
3 168
569
Accumulated Depreciation
824
874
931
984
795
803
869
946
952
1 077
1 231
1 620
1 746
1 868
2 106
2 265
4 300
5 004
5 667
5 903
5 240
3 715
4 933
981
Intangible Assets
261
276
270
261
70
146
143
134
192
194
321
949
1 010
1 080
1 234
1 341
9 932
10 292
10 832
4 921
4 689
3 606
6 400
67
Goodwill
691
772
778
747
790
861
937
992
1 011
1 101
1 055
2 703
2 725
2 769
2 936
2 977
13 959
14 410
16 700
16 029
8 912
7 802
9 762
132
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
109
507
0
0
0
0
0
0
0
Long-Term Investments
859
1 032
860
975
3 229
3 794
3 181
2 013
2 495
2 932
3 073
3 784
4 705
4 652
7 819
6 973
11 893
9 102
9 294
18 004
22 429
21 734
21 554
16 575
Other Long-Term Assets
0
0
0
0
80
65
59
31
34
40
26
118
222
346
424
461
1 251
1 482
1 720
936
399
328
532
4
Other Assets
691
772
778
747
790
861
937
992
1 011
1 101
1 055
2 703
2 725
2 769
2 936
2 977
13 959
14 410
16 700
16 029
8 912
7 802
9 762
132
Total Assets
4 589
N/A
4 815
+5%
4 513
-6%
4 937
+9%
7 863
+59%
7 951
+1%
7 531
-5%
6 427
-15%
6 889
+7%
7 960
+16%
8 580
+8%
14 985
+75%
16 287
+9%
16 773
+3%
21 218
+26%
20 732
-2%
53 172
+156%
54 996
+3%
56 310
+2%
55 998
-1%
54 572
-3%
54 006
-1%
59 981
+11%
24 184
-60%
Liabilities
Accounts Payable
1 261
1 305
1 279
1 341
1 453
1 448
1 659
762
683
748
822
2 397
4 318
2 634
5 228
2 851
6 885
8 616
9 112
8 586
8 768
8 245
6 092
585
Accrued Liabilities
0
0
0
0
0
0
0
173
165
179
195
366
0
0
0
794
368
396
924
690
836
770
840
137
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
286
812
442
464
932
790
684
843
1 219
822
910
1 131
1 386
1 735
1 765
1 368
1 085
2 082
2 809
4 072
2 544
1 694
4 756
329
Other Current Liabilities
326
277
280
280
683
244
209
898
978
1 116
1 169
2 197
679
1 939
377
2 010
4 482
3 502
3 529
3 961
1 065
1 423
6 636
488
Total Current Liabilities
1 873
2 394
2 001
2 086
3 068
2 482
2 552
2 676
3 045
2 865
3 096
6 091
6 383
7 003
7 370
7 022
12 820
14 595
16 374
17 308
13 214
12 132
18 323
1 538
Long-Term Debt
976
817
1 235
1 502
1 693
1 653
1 674
1 654
1 203
1 651
1 909
2 615
2 255
1 703
4 340
4 568
7 157
8 329
11 243
9 237
7 477
6 495
6 186
593
Deferred Income Tax
0
0
0
0
174
119
75
58
65
69
60
192
208
231
256
239
2 338
2 807
2 714
2 702
1 107
1 189
1 414
51
Minority Interest
944
817
603
608
1 352
1 509
1 188
727
898
1 144
1 180
2 903
3 464
3 768
4 815
4 639
24 377
22 157
20 207
20 253
22 485
21 748
21 158
8 820
Other Liabilities
412
390
380
392
219
219
246
237
251
248
321
494
606
572
628
663
2 328
3 360
1 957
2 614
1 439
1 249
1 351
248
Total Liabilities
4 204
N/A
4 418
+5%
4 220
-4%
4 587
+9%
6 505
+42%
5 981
-8%
5 734
-4%
5 352
-7%
5 461
+2%
5 977
+9%
6 567
+10%
12 295
+87%
12 916
+5%
13 278
+3%
17 409
+31%
17 131
-2%
49 020
+186%
51 249
+5%
52 496
+2%
52 114
-1%
45 721
-12%
42 812
-6%
48 432
+13%
11 250
-77%
Equity
Common Stock
101
101
101
105
105
105
105
105
105
105
105
105
105
105
105
105
105
105
105
105
105
105
105
105
Retained Earnings
207
219
115
156
1 165
1 777
1 603
882
943
1 791
1 362
1 756
3 177
3 302
3 615
3 408
3 958
2 972
2 962
3 350
7 289
9 357
9 349
10 143
Additional Paid In Capital
77
77
77
88
88
88
88
88
88
88
88
88
88
88
88
88
88
88
88
88
88
88
88
88
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
444
0
560
980
0
0
0
0
0
994
1 063
990
1 757
1 830
2 234
2 742
Treasury Stock
0
0
0
0
0
0
0
0
85
0
87
203
0
0
0
0
0
169
168
169
169
181
189
202
Other Equity
0
0
0
0
0
0
0
0
66
0
15
36
0
0
0
0
0
242
235
480
219
6
38
59
Total Equity
385
N/A
397
+3%
293
-26%
349
+19%
1 358
+289%
1 970
+45%
1 796
-9%
1 075
-40%
1 428
+33%
1 984
+39%
2 013
+1%
2 690
+34%
3 371
+25%
3 495
+4%
3 808
+9%
3 601
-5%
4 152
+15%
3 748
-10%
3 814
+2%
3 884
+2%
8 851
+128%
11 193
+26%
11 550
+3%
12 934
+12%
Total Liabilities & Equity
4 589
N/A
4 815
+5%
4 513
-6%
4 937
+9%
7 863
+59%
7 951
+1%
7 531
-5%
6 427
-15%
6 889
+7%
7 960
+16%
8 580
+8%
14 985
+75%
16 287
+9%
16 773
+3%
21 218
+26%
20 732
-2%
53 172
+156%
54 996
+3%
56 310
+2%
55 998
-1%
54 572
-3%
54 006
-1%
59 981
+11%
24 184
-60%
Shares Outstanding
Common Shares Outstanding
6
6
6
7
5
5
5
5
5
5
5
4
4
4
4
4
4
4
4
4
4
4
4
4