|
Cours en clôture
Nigerian S.E.
18/06/2026
|
Varia. 5j.
|
Varia. 1 janv.
|
|
40,40 NGN
|
-1,94%
|
|
-6,05%
|
-3,00%
|
66790a6d7250e9cf90f1da2ca.GP-oMwP5uFQp1saFj43tRKFyNhb8RIEkqNiiv2_FCX0.dsjtdjKfyixCh-vX2PWeaeoAdWOMdspsxbPE2BqcaC5cmJ5wdJaOYHm4_g| Période Fiscale: Décembre |
2016
|
2017
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
| | | | | |
474 Md
|
557 Md
|
1 073 Md
|
2 296 Md
|
2 640 Md
| | | | | | |
353 M
|
415 M
|
2,1 Md
|
74,15 Md
|
9,22 Md
| | | | | | |
474 Md
|
557 Md
|
1 075 Md
|
2 370 Md
|
2 649 Md
| | | | | | |
158 Md
|
178 Md
|
368 Md
|
839 Md
|
1 031 Md
| | | | | | |
158 Md
|
178 Md
|
368 Md
|
839 Md
|
1 031 Md
| | | | | | |
317 Md
|
379 Md
|
708 Md
|
1 531 Md
|
1 618 Md
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
1,99 Md
|
21 M
|
121 M
|
107 M
|
-2,29 Md
| | | | | | |
-3,01 Md
|
-18,41 Md
|
-63,15 Md
|
-17,55 Md
|
1,72 Md
| | | | | | |
124 Md
|
210 Md
|
849 Md
|
554 Md
|
238 Md
| | | | | | |
123 Md
|
191 Md
|
786 Md
|
536 Md
|
237 Md
| | | | | | |
440 Md
|
571 Md
|
1 493 Md
|
2 067 Md
|
1 856 Md
| | | | | | |
9,85 Md
|
19,67 Md
|
144 Md
|
217 Md
|
331 Md
| | | | | | |
430 Md
|
551 Md
|
1 349 Md
|
1 850 Md
|
1 525 Md
| | | | | | |
90,3 Md
|
114 Md
|
183 Md
|
315 Md
|
376 Md
| | | | | | |
22,7 Md
|
26,22 Md
|
36,6 Md
|
48,61 Md
|
66,68 Md
| | | | | | |
8,75 Md
|
11,02 Md
|
18,86 Md
|
50,74 Md
|
19,85 Md
| | | | | | |
-1,93 Md
|
-311 M
|
-
|
-
|
-
| | | | | | |
154 Md
|
199 Md
|
353 Md
|
632 Md
|
634 Md
| | | | | | |
274 Md
|
350 Md
|
592 Md
|
1 046 Md
|
1 097 Md
| | | | | | |
156 Md
|
201 Md
|
758 Md
|
804 Md
|
427 Md
| | | | | | |
-
|
-
|
-
|
-
|
-4,07 Md
| | | | | | |
-2,94 Md
|
-
|
-
|
-
|
-
| | | | | | |
153 Md
|
201 Md
|
758 Md
|
804 Md
|
423 Md
| | | | | | |
34,4 Md
|
30,6 Md
|
150 Md
|
37,16 Md
|
18,7 Md
| | | | | | |
119 Md
|
170 Md
|
608 Md
|
767 Md
|
405 Md
| | | | | | |
119 Md
|
170 Md
|
608 Md
|
767 Md
|
405 Md
| | | | | | |
-2,8 Md
|
-4,83 Md
|
-9,41 Md
|
-23,45 Md
|
-31,04 Md
| | | | | | |
116 Md
|
165 Md
|
598 Md
|
743 Md
|
374 Md
| | | | | | |
116 Md
|
165 Md
|
598 Md
|
743 Md
|
374 Md
| | | | | | |
116 Md
|
165 Md
|
598 Md
|
743 Md
|
374 Md
|
Éléments par action
| | | | | | | | | | |
|---|
| | | | | |
3,39
|
4,84
|
17,49
|
21,73
|
9,66
| | | | | | |
3,39
|
4,84
|
17,49
|
21,73
|
9,66
| | | | | | |
34,2 Md
|
34,2 Md
|
34,2 Md
|
34,2 Md
|
38,67 Md
| | | | | | |
3,39
|
4,84
|
17,49
|
21,73
|
9,66
| | | | | | |
3,39
|
4,84
|
17,49
|
21,73
|
9,66
| | | | | | |
34,2 Md
|
34,2 Md
|
34,2 Md
|
34,2 Md
|
38,67 Md
| | | | | | |
2,77
|
3,53
|
13,57
|
14
|
6,11
| | | | | | |
2,77
|
3,53
|
13,57
|
14
|
6,11
| | | | | | |
1
|
1,1
|
2,8
|
5
|
0,25
| | | | | | |
16,23
|
21,97
|
8
|
19,79
|
30,2
| | | | | | |
200
|
200
|
200
|
200
|
200
|
Éléments supplémentaires
| | | | | | | | | | |
|---|
| | | | | |
22,47
|
15,23
|
19,8
|
4,62
|
4,42
| | | | | | |
34,5 Md
|
30,6 Md
|
103 Md
|
219 Md
|
95,13 Md
| | | | | | |
-102 M
|
-
|
47,43 Md
|
-182 Md
|
-76,43 Md
| | | | | | |
94,71 Md
|
121 Md
|
464 Md
|
479 Md
|
236 Md
| | | | | | |
2,94 Md
|
2,77 Md
|
1,35 Md
|
2,15 Md
|
3,49 Md
|
| Période Fiscale: Décembre |
2016
|
2017
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
Actifs
| | | | | | | | | | |
|---|
| | | | | |
786 Md
|
1 261 Md
|
2 954 Md
|
3 804 Md
|
3 405 Md
| | | | | | |
3 213 Md
|
3 991 Md
|
6 859 Md
|
12 649 Md
|
16 055 Md
| | | | | | |
46,44 Md
|
54,79 Md
|
533 Md
|
289 Md
|
196 Md
| | | | | | |
3 259 Md
|
4 045 Md
|
7 392 Md
|
12 938 Md
|
16 251 Md
| | | | | | |
2 934 Md
|
3 526 Md
|
5 794 Md
|
7 846 Md
|
8 019 Md
| | | | | | |
-99,01 Md
|
-85,51 Md
|
-245 Md
|
-336 Md
|
-559 Md
| | | | | | |
2 835 Md
|
3 440 Md
|
5 550 Md
|
7 511 Md
|
7 460 Md
| | | | | | |
331 Md
|
379 Md
|
509 Md
|
805 Md
|
878 Md
| | | | | | |
-152 Md
|
-171 Md
|
-242 Md
|
-389 Md
|
-429 Md
| | | | | | |
178 Md
|
208 Md
|
267 Md
|
417 Md
|
449 Md
| | | | | | |
11,13 Md
|
14,83 Md
|
29,3 Md
|
45,57 Md
|
46,67 Md
| | | | | | |
19,32 Md
|
18,64 Md
|
14,55 Md
|
21,29 Md
|
21,92 Md
| | | | | | |
129 Md
|
227 Md
|
663 Md
|
1 136 Md
|
1 079 Md
| | | | | | |
970 Md
|
1 283 Md
|
2 687 Md
|
3 930 Md
|
3 877 Md
| | | | | | |
293 Md
|
315 Md
|
553 Md
|
366 Md
|
360 Md
| | | | | | |
43,33 Md
|
23,6 Md
|
9,74 Md
|
140 Md
|
208 Md
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
17,89 Md
|
21,76 Md
|
534 Md
|
14,37 Md
|
15,44 Md
| | | | | | |
8 541 Md
|
10 858 Md
|
20 653 Md
|
30 323 Md
|
33 173 Md
|
Passifs
| | | | | | | | | | |
|---|
| | | | | |
30,77 Md
|
51,5 Md
|
81,74 Md
|
157 Md
|
154 Md
| | | | | | |
3 238 Md
|
4 467 Md
|
7 873 Md
|
10 295 Md
|
12 441 Md
| | | | | | |
3 785 Md
|
4 528 Md
|
9 482 Md
|
14 356 Md
|
14 767 Md
| | | | | | |
7 023 Md
|
8 995 Md
|
17 356 Md
|
24 651 Md
|
27 208 Md
| | | | | | |
21,74 Md
|
248 Md
|
419 Md
|
660 Md
|
556 Md
| | | | | | |
112 Md
|
8,62 Md
|
24,59 Md
|
-
|
-
| | | | | | |
882 M
|
5,76 Md
|
8,76 Md
|
26,07 Md
|
4,8 Md
| | | | | | |
322 Md
|
279 Md
|
417 Md
|
769 Md
|
492 Md
| | | | | | |
15,88 Md
|
14,32 Md
|
21,79 Md
|
45,81 Md
|
67,37 Md
| | | | | | |
21,42 Md
|
20,28 Md
|
42,67 Md
|
139 Md
|
37 Md
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
42,91 Md
|
49,69 Md
|
92,86 Md
|
154 Md
|
363 Md
| | | | | | |
1,3 Md
|
902 M
|
4,78 Md
|
6,13 Md
|
4,93 Md
| | | | | | |
19,62 Md
|
959 M
|
50,8 Md
|
5,61 Md
|
7,51 Md
| | | | | | |
124 Md
|
261 Md
|
103 Md
|
292 Md
|
24,86 Md
| | | | | | |
7 737 Md
|
9 935 Md
|
18 623 Md
|
26 905 Md
|
28 920 Md
| | | | | | |
17,1 Md
|
17,1 Md
|
17,1 Md
|
17,1 Md
|
22,1 Md
| | | | | | |
98,72 Md
|
98,72 Md
|
98,72 Md
|
98,72 Md
|
483 Md
| | | | | | |
510 Md
|
641 Md
|
1 195 Md
|
1 791 Md
|
2 052 Md
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
151 Md
|
130 Md
|
652 Md
|
1 410 Md
|
1 566 Md
| | | | | | |
776 Md
|
887 Md
|
1 962 Md
|
3 317 Md
|
4 122 Md
| | | | | | |
28,63 Md
|
34,81 Md
|
68,03 Md
|
102 Md
|
131 Md
| | | | | | |
805 Md
|
922 Md
|
2 030 Md
|
3 419 Md
|
4 253 Md
| | | | | | |
8 541 Md
|
10 858 Md
|
20 653 Md
|
30 323 Md
|
33 173 Md
|
Éléments supplémentaires
| | | | | | | | | | |
|---|
| | | | | |
34,2 Md
|
34,2 Md
|
34,2 Md
|
34,2 Md
|
44,2 Md
| | | | | | |
34,2 Md
|
34,2 Md
|
34,2 Md
|
34,2 Md
|
44,2 Md
| | | | | | |
22,7
|
25,94
|
57,37
|
96,98
|
93,27
| | | | | | |
746 Md
|
854 Md
|
1 918 Md
|
3 250 Md
|
4 053 Md
| | | | | | |
21,81
|
24,97
|
56,09
|
95,02
|
91,72
| | | | | | |
473 Md
|
556 Md
|
891 Md
|
1 501 Md
|
1 120 Md
| | | | | | |
239 Md
|
481 Md
|
971 Md
|
1 090 Md
|
2 340 Md
| | | | | | |
-423 Md
|
-769 Md
|
-3 024 Md
|
-3 022 Md
|
-4 151 Md
| | | | | | |
8,94 Md
|
-
|
-
|
-
|
-
| | | | | | |
10,2 k
|
9,6 k
|
10,01 k
|
9,32 k
|
10,82 k
| | | | | | |
1 k
|
- |
- |
- |
- |
| Période Fiscale: Décembre |
2016
|
2017
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
| | | | | |
116 Md
|
165 Md
|
598 Md
|
743 Md
|
374 Md
| | | | | | |
18,42 Md
|
21,34 Md
|
31,17 Md
|
40,88 Md
|
55,02 Md
| | | | | | |
18,42 Md
|
21,34 Md
|
31,17 Md
|
40,88 Md
|
55,02 Md
| | | | | | |
4,28 Md
|
4,88 Md
|
5,42 Md
|
7,73 Md
|
11,66 Md
| | | | | | |
-1,99 Md
|
-21 M
|
-121 M
|
-107 M
|
2,29 Md
| | | | | | |
20,59 Md
|
11,49 Md
|
-434 Md
|
309 Md
|
176 Md
| | | | | | |
231 M
|
4,06 Md
|
39,33 Md
|
19,78 Md
|
8,86 Md
| | | | | | |
13,91 Md
|
28,22 Md
|
160 Md
|
272 Md
|
401 Md
| | | | | | |
-1,93 Md
|
-311 M
|
-
|
-
|
-
| | | | | | |
126 Md
|
-1,8 Md
|
-19,16 Md
|
-67 Md
|
-93,5 Md
| | | | | | |
-152 Md
|
-808 Md
|
-5 499 Md
|
-3 467 Md
|
-3 672 Md
| | | | | | |
45,76 Md
|
13,14 Md
|
182 Md
|
-207 Md
|
-129 Md
| | | | | | |
189 Md
|
-561 Md
|
-4 936 Md
|
-2 349 Md
|
-2 866 Md
| | | | | | |
-35,35 Md
|
-40,12 Md
|
-36,8 Md
|
-97,89 Md
|
-105 Md
| | | | | | |
8,09 Md
|
551 M
|
2,17 Md
|
6,7 Md
|
11,83 Md
| | | | | | |
-
|
17,97 Md
|
-
|
-
|
-
| | | | | | |
-5,36 Md
|
-2,7 Md
|
-2,55 Md
|
-18,17 Md
|
-13,46 Md
| | | | | | |
-
|
-241 M
|
-
|
-5,11 Md
|
-26 M
| | | | | | |
-765 Md
|
-860 Md
|
-3 166 Md
|
-4 887 Md
|
-1 746 Md
| | | | | | |
-2,06 Md
|
-
|
-
|
-
|
-
| | | | | | |
3 Md
|
-7,89 Md
|
5,37 Md
|
-24,08 Md
|
48,46 Md
| | | | | | |
-796 Md
|
-892 Md
|
-3 198 Md
|
-5 025 Md
|
-1 804 Md
| | | | | | |
281 Md
|
220 Md
|
345 Md
|
826 Md
|
471 Md
| | | | | | |
281 Md
|
220 Md
|
345 Md
|
826 Md
|
471 Md
| | | | | | |
-545 Md
|
-188 Md
|
-495 Md
|
-942 Md
|
-902 Md
| | | | | | |
-545 Md
|
-188 Md
|
-495 Md
|
-942 Md
|
-902 Md
| | | | | | |
-
|
-
|
-
|
-
|
395 Md
| | | | | | |
-18,81 Md
|
-36,35 Md
|
-47,88 Md
|
-147 Md
|
-113 Md
| | | | | | |
-18,81 Md
|
-36,35 Md
|
-47,88 Md
|
-147 Md
|
-113 Md
| | | | | | |
919 Md
|
1 959 Md
|
8 253 Md
|
7 201 Md
|
2 976 Md
| | | | | | |
-35,2 Md
|
-27,05 Md
|
-52,96 Md
|
-134 Md
|
-113 Md
| | | | | | |
600 Md
|
1 928 Md
|
8 003 Md
|
6 804 Md
|
2 714 Md
| | | | | | |
-1,83 Md
|
322 M
|
2 097 Md
|
1 280 Md
|
2 831 Md
| | | | | | |
-8,68 Md
|
475 Md
|
1 967 Md
|
709 Md
|
875 Md
|
Éléments supplémentaires
| | | | | | | | | | |
|---|
| | | | | |
149 Md
|
156 Md
|
244 Md
|
692 Md
|
1 130 Md
| | | | | | |
23,06 Md
|
31,73 Md
|
80,17 Md
|
123 Md
|
197 Md
| | | | | | |
-265 Md
|
31,98 Md
|
-150 Md
|
-117 Md
|
-431 Md
|
| Période Fiscale: Décembre |
2016
|
2017
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
Rentabilité
| | | | | | | | | | |
|---|
| | | | | |
1,46
|
1,76
|
3,86
|
3,01
|
1,27
| | | | | | |
15,57
|
19,72
|
41,17
|
28,14
|
10,55
| | | | | | |
15,79
|
19,89
|
41,99
|
28,16
|
10,05
| | | | | | |
27,81 Md
|
65,64 Md
|
427 Md
|
426 Md
|
-72,66 Md
|
Analyse des marges
| | | | | | | | | | |
|---|
| | | | | |
28,31
|
27,45
|
17,66
|
22,38
|
30,36
| | | | | | |
73,63
|
68,88
|
52,44
|
82,75
|
106,15
| | | | | | |
36,27
|
36,46
|
56,15
|
43,45
|
28,04
| | | | | | |
27,59
|
30,91
|
45,04
|
41,44
|
26,55
| | | | | | |
26,94
|
30,03
|
44,34
|
40,17
|
24,51
| | | | | | |
26,94
|
30,03
|
44,34
|
40,17
|
24,51
| | | | | | |
22,02
|
21,91
|
34,4
|
25,89
|
15,49
|
Qualité des actifs
| | | | | | | | | | |
|---|
| | | | | |
3,55
|
3,1
|
5,85
|
5,58
|
7,67
| | | | | | |
1,22
|
1,01
|
1,64
|
1,44
|
1,86
| | | | | | |
1,22
|
1,01
|
1,67
|
1,48
|
1,88
| | | | | | |
3,55
|
3,1
|
5,95
|
5,74
|
7,8
| | | | | | |
12,94
|
11,86
|
16,98
|
13,17
|
14,7
| | | | | | |
368,78
|
250,08
|
712,43
|
201,71
|
2,41 k
| | | | | | |
95,1
|
78,33
|
72,19
|
76,71
|
90,82
| | | | | | |
3,38
|
2,43
|
4,22
|
4,28
|
6,97
| | | | | | |
36,69
|
57,53
|
419,56
|
130,37
|
1,43 k
|
Capital et financement
| | | | | | | | | | |
|---|
| | | | | |
9,04
|
8,58
|
9,04
|
10,36
|
11,71
| | | | | | |
9,39
|
8,9
|
9,37
|
10,69
|
12,08
| | | | | | |
29,83
|
27,59
|
38,09
|
46,55
|
58,37
| | | | | | |
41,77
|
39,19
|
33,38
|
31,83
|
29,47
| | | | | | |
40,36
|
38,24
|
31,98
|
30,47
|
27,42
| | | | | | |
20,87
|
25,15
|
24,27
|
23,02
|
17,23
| | | | | | |
24,9
|
28,3
|
32,6
|
31
|
23,2
| | | | | | |
- |
- |
24,27
|
23,02
|
17,23
| | | | | | |
4,03
|
3,19
|
8,36
|
7,98
|
5,97
| | | | | | |
95,1
|
78,33
|
72,19
|
76,71
|
90,82
| | | | | | |
68,67
|
63,75
|
80,33
|
88,92
|
80,35
|
Couverture des charges fixes
| | | | | | | | | | |
|---|
| | | | | |
1,97
|
2,13
|
3,06
|
1,96
|
1,41
|
Croissance par rapport à l'année précédente
| | | | | | | | | | |
|---|
| | | | | |
22,06
|
19,82
|
86,45
|
116,35
|
4,24
| | | | | | |
-11,21
|
55,05
|
311,78
|
-31,83
|
-53,88
| | | | | | |
-56,11
|
99,69
|
632,29
|
50,62
|
52,59
| | | | | | |
14,44
|
28,09
|
145,04
|
37,04
|
-17,59
| | | | | | |
8,72
|
43,48
|
256,89
|
26,14
|
-47,21
| | | | | | |
9,42
|
42,77
|
261,61
|
24,21
|
-49,72
| | | | | | |
24,16
|
29,98
|
284,47
|
3,18
|
-50,69
| | | | | | |
9,42
|
42,77
|
261,61
|
24,21
|
-55,53
| | | | | | |
92,31
|
10
|
154,55
|
78,57
|
-95
| | | | | | |
6,84
|
20,18
|
64,34
|
35,42
|
2,2
| | | | | | |
-12,63
|
-13,63
|
186,04
|
37,24
|
66,49
| | | | | | |
7,68
|
21,36
|
61,32
|
35,34
|
-0,68
| | | | | | |
-19,17
|
4,86
|
210,38
|
29,16
|
40,62
| | | | | | |
-20,86
|
5,07
|
215,17
|
30,55
|
38,91
| | | | | | |
11,02
|
27,12
|
90,22
|
46,82
|
9,4
| | | | | | |
15,25
|
28,07
|
92,95
|
42,03
|
11,84
| | | | | | |
12,52
|
14,5
|
124,67
|
69,4
|
24,73
| | | | | | |
12,22
|
14,32
|
121,14
|
69,03
|
24,29
| | | | | | |
11,85
|
14,57
|
120,17
|
68,39
|
24,4
|
Taux de croissance annuel composé sur deux ans
| | | | | | | | | | |
|---|
| | | | | |
19,48
|
20,94
|
49,47
|
100,84
|
51,24
| | | | | | |
0,31
|
17,33
|
152,48
|
67,6
|
-45,07
| | | | | | |
-22,35
|
-6,38
|
282,4
|
232,11
|
51,6
| | | | | | |
14,51
|
21,07
|
77,12
|
83,29
|
6,27
| | | | | | |
15,42
|
24,89
|
126,29
|
112,18
|
-18,39
| | | | | | |
15,93
|
24,99
|
127,22
|
111,93
|
-20,97
| | | | | | |
19,18
|
25,8
|
123,55
|
99,17
|
-28,67
| | | | | | |
15,93
|
24,99
|
127,22
|
111,93
|
-25,68
| | | | | | |
0
|
45,44
|
67,33
|
113,2
|
-70,12
| | | | | | |
14
|
13,32
|
40,54
|
49,18
|
17,64
| | | | | | |
6,04
|
-13,13
|
57,18
|
98,13
|
51,16
| | | | | | |
14,31
|
14,32
|
39,92
|
47,76
|
15,94
| | | | | | |
-4,44
|
-7,94
|
80,4
|
100,22
|
34,77
| | | | | | |
-4,44
|
-8,81
|
81,98
|
102,84
|
34,66
| | | | | | |
23,27
|
18,8
|
55,5
|
67,12
|
26,74
| | | | | | |
30,88
|
21,49
|
57,2
|
65,54
|
25,21
| | | | | | |
15,3
|
13,5
|
60,39
|
95,09
|
45,36
| | | | | | |
15,82
|
13,26
|
59
|
93,33
|
44,94
| | | | | | |
16,01
|
13,2
|
58,83
|
92,55
|
44,74
|
Taux de croissance annuel composé sur trois ans
| | | | | | | | | | |
|---|
| | | | | |
15,48
|
19,59
|
39,71
|
69,08
|
62,16
| | | | | | |
6,32
|
15,98
|
78,21
|
63,23
|
7,53
| | | | | | |
29,57
|
6,39
|
85,84
|
180,31
|
156,27
| | | | | | |
12,3
|
18,87
|
53,12
|
62,62
|
40,42
| | | | | | |
14,72
|
24,1
|
77,23
|
86,23
|
33,45
| | | | | | |
15,42
|
24,27
|
78,1
|
85,79
|
31,2
| | | | | | |
14,27
|
21,88
|
82,56
|
72,76
|
25,06
| | | | | | |
15,42
|
24,27
|
78,1
|
85,79
|
25,94
| | | | | | |
5,57
|
3,23
|
75,27
|
71
|
-38,97
| | | | | | |
17,17
|
16,02
|
28,27
|
38,81
|
31,51
| | | | | | |
2,31
|
-0,97
|
29,23
|
50,23
|
86,97
| | | | | | |
17,87
|
16,61
|
28,22
|
38,38
|
29,44
| | | | | | |
-3,72
|
-1,44
|
38,04
|
61,39
|
77,97
| | | | | | |
-3,72
|
-1,37
|
37,87
|
62,91
|
78,79
| | | | | | |
20,6
|
24,54
|
38,98
|
52,55
|
45,11
| | | | | | |
25,85
|
29,94
|
41,75
|
51,97
|
44,62
| | | | | | |
17,03
|
15,03
|
42,51
|
63,34
|
68,07
| | | | | | |
17,09
|
15,32
|
41,56
|
62,27
|
66,86
| | | | | | |
16,99
|
15,53
|
41,31
|
61,95
|
66,46
|
Taux de croissance annuel composé sur cinq ans
| | | | | | | | | | |
|---|
| | | | | |
13,9
|
12,82
|
28,03
|
47,15
|
44,21
| | | | | | |
3,16
|
9,95
|
50,27
|
34,34
|
11,31
| | | | | | |
-18,67
|
-9,77
|
99,76
|
67,74
|
71,3
| | | | | | |
12,1
|
13,41
|
34,75
|
41,33
|
32,32
| | | | | | |
10,43
|
17,04
|
50,54
|
53,8
|
29,96
| | | | | | |
10,8
|
17,14
|
51,34
|
53,85
|
28,68
| | | | | | |
11,98
|
14,04
|
48,87
|
48,33
|
25,36
| | | | | | |
10,7
|
17,14
|
51,34
|
53,85
|
25,56
| | | | | | |
5,92
|
5,29
|
26,93
|
37,97
|
-13,63
| | | | | | |
13,19
|
15,31
|
26,01
|
28,3
|
23,91
| | | | | | |
14,33
|
8,05
|
21,48
|
30,69
|
37,6
| | | | | | |
13,15
|
15,53
|
26,24
|
28,19
|
23,16
| | | | | | |
11,46
|
-0,99
|
23,77
|
30,87
|
36,72
| | | | | | |
11,46
|
-0,95
|
24,2
|
31,61
|
36,58
| | | | | | |
19,5
|
21,69
|
33,5
|
40,09
|
33,95
| | | | | | |
22,04
|
25,69
|
37,56
|
43,16
|
34,88
| | | | | | |
12,14
|
11,63
|
32,75
|
42,1
|
43,65
| | | | | | |
12,29
|
11,73
|
32,33
|
41,8
|
42,9
| | | | | | |
12,43
|
11,81
|
32,21
|
41,72
|
42,67
|
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