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REY Reply Spa

-0.50 (-0.48%)
28 Nov 2023 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End 31 December 2022 20152016201720182019202020212022
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Total Assets 700.75M770.58M871.15M1.08B1.31B1.51B1.85B2.23B
Total Current Assets 508.58M538.13M607.7M694.15M789.74M841.72M984.59M1.16B
Cash and Equivalents 105.14M92.55M109.2M128.06M240.94M333.82M329.05M283.7M
Total Non-Current Assets 296.08M337.54M402.07M486.61M587.06M675.96M815.9M971.87M
Total Liabilities 404.67M433.04M469.08M589.49M720.85M830.61M1.03B1.26B
Total Current Liabilities 284.87M317.92M368.69M458.06M498.76M547.07M686.49M868.26M
Total Non-Current Liabilities 173.42M146.17M114.49M155.68M248.95M303.93M367.95M462.55M
Total Equity 296.08M337.54M402.07M486.61M587.06M675.96M815.9M971.87M
Common Equity 4.86M4.86M4.86M4.86M4.86M4.86M4.86M4.86M
Retained Earnings 56.75M67.54M77.87M99.91M113.86M123.6M150.67M191.02M

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