PLASTIC OMNIUM financials

PLASTIC OMNIUM

Country: FR Reporting currency: EUR Latest annual report: 2025-12-31
LEI: 969500E35QZFDE7TVG55
Source filing ↗
Financial statements (EUR, as reported — unscaled; 114 line items across 2 annual periods)
Line item 20252024
Income statement
Cost of sales €9.04B€9.35B
Gross profit €1.17B€1.14B
Other income €13.0M€19.0M
Distribution costs €63.0M€65.0M
Administrative expenses €385.0M€391.0M
Depreciation & amortisation €16.0M€22.0M
Profit before tax €265.0M€243.0M
Income tax expense €79.0M€72.0M
Profit for the year €187.0M€171.0M
— attributable to owners €185.0M€170.0M
— attributable to NCI €2.0M€1.0M
Total comprehensive income €111.0M€215.0M
Per share
Basic EPS €1.30€1.18
Diluted EPS €1.30€1.18
Free cash flow / share €3.16€3.22
Cash flow statement
Net cash from operating activities €745.0M€754.0M
Net cash from investing activities -€460.0M-€558.0M
Purchase of PP&E (capex) €291.0M€287.0M
Purchase of intangibles €212.0M€270.0M
Net cash from financing activities -€201.0M-€168.0M
Proceeds from borrowings €998.0M€1.59B
Balance sheet
Total assets €7.72B€7.68B
Non-current assets €4.64B€4.74B
Intangible assets & goodwill €1.29B€1.30B
Inventories €962.0M€935.0M
Trade & other receivables €867.0M€886.0M
Cash & equivalents €730.0M€671.0M
Total equity €2.14B€2.09B
— attributable to owners €2.12B€2.06B
Non-controlling interests €26.0M€29.0M
Non-current liabilities €1.90B€1.41B
Deferred tax liabilities €23.0M€18.0M
Derived metrics
Free cash flow €454.0M€467.0M
Net margin 1.8%1.6%
Return on equity 8.7%8.2%
Cash conversion ratio 3.98×4.41×
Capex coverage 2.56×2.63×
Other reported items
Adjustments For Decrease Increase In Inventories -€72.0M€36.0M
Adjustments For Decrease Increase In Trade Account Receivable -€4.0M€136.0M
Adjustments For Increase Decrease In Trade Account Payable €54.0M-€102.0M
Adjustments For Losses Gains On Disposal of Noncurrent Assets €19.0M€12.0M
Adjustments For Provisions €20.0M€7.0M
Adjustments For Sharebased Payments €2.0M€0
Adjustments For Undistributed Profits of Investments Accounted For Using Equity Method €41.0M€44.0M
Bank Overdrafts Classified As Cash Equivalents €2.0M€9.0M
Cancellation of Treasury Shares €0
Cash Advances and Loans Made To Other Parties Classified As Investing Activities -€44.0M-€30.0M
Cash and Cash Equivalents If Different From Statement of Financial Position €727.0M€662.0M
Cash Flows From Used In Operations Before Changes In Working Capital €915.0M€885.0M
Comprehensive Income Attributable To Noncontrolling Interests -€1.0M€1.0M
Comprehensive Income Attributable To Owners of Parent €112.0M€213.0M
Current Assets Other Than Assets Or Disposal Groups Classified As Held For Sale Or As Held For Distribution To Owners €3.04B€2.94B
Current Borrowings and Current Portion of Noncurrent Borrowings €541.0M€1.13B
Current Liabilities Other Than Liabilities Included In Disposal Groups Classified As Held For Sale €3.64B€4.19B
Current Provisions €78.0M€71.0M
Deferred Tax Assets €210.0M€187.0M
Derivative Financial Assets Held For Hedging €6.0M€3.0M
Derivative Financial Liabilities Held For Hedging €4.0M€14.0M
Dividends Paid To Equity Holders of Parent Classified As Financing Activities €31.0M€55.0M
Dividends Paid To Noncontrolling Interests Classified As Financing Activities €23.0M€40.0M
Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners €70.6M
Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners Per Share €0.49
Dividends Received Classified As Operating Activities €44.0M€42.0M
Dividends Recognised As Distributions To Noncontrolling Interests €3.0M€4.0M
Dividends Recognised As Distributions To Owners of Parent €51.0M€91.0M
Dividends Recognised As Distributions To Owners Per Share €0.60€0.39
Effect of Exchange Rate Changes On Cash and Cash Equivalents -€18.0M€1.0M
Equity and Liabilities €7.72B€7.68B
Income Tax Relating To Components of Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss €0€1.0M
Income Taxes Paid Refund Classified As Operating Activities €77.0M€81.0M
Increase Decrease In Cash and Cash Equivalents €66.0M€28.0M
Increase Decrease In Number of Ordinary Shares Issued -1.5M
Increase Decrease In Working Capital €13.0M-€42.0M
Increase Decrease Through Appropriation of Retained Earnings €0€0
Increase Decrease Through Changes In Ownership Interests In Subsidiaries That Do Not Result In Loss of Control -€3.0M
Increase Decrease Through Sharebased Payment Transactions €2.0M
Increase Decrease Through Treasury Share Transactions -€1.0M-€10.0M
Intangible Assets Other Than Goodwill €799.0M€793.0M
Interest Paid Classified As Operating Activities €112.0M€120.0M
Interest Received Classified As Operating Activities €31.0M€28.0M
Investment Accounted For Using Equity Method €311.0M€319.0M
Issued Capital €9.0M€9.0M
Liabilities Included In Disposal Groups Classified As Held For Sale €32.0M€0
Noncurrent Assets Or Disposal Groups Classified As Held For Sale Or As Held For Distribution To Owners €39.0M€0
Noncurrent Government Grants €21.0M€23.0M
Noncurrent Investments Other Than Investments Accounted For Using Equity Method €24.0M€24.0M
Noncurrent Portion of Other Noncurrent Borrowings €1.71B€1.23B
Noncurrent Provisions For Employee Benefits €74.0M€76.0M
Number of Shares Issued 144.0M145.5M
Other Adjustments To Reconcile Profit Loss €8.0M€1.0M
Other Comprehensive Income -€76.0M€43.0M
Other Comprehensive Income Attributable To Owners of Parent -€74.0M€43.0M
Other Comprehensive Income Before Tax Gains Losses On Remeasurements of Defined Benefit Plans €3.0M€2.0M
Other Comprehensive Income Net of Tax Cash Flow Hedges €2.0M€1.0M
Other Comprehensive Income Net of Tax Exchange Differences On Translation -€89.0M€20.0M
Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net of Tax -€77.0M€34.0M
Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net of Tax €4.0M€9.0M
Other Current Financial Assets €0€1.0M
Other Current Nonfinancial Liabilities €1.48B€1.38B
Other Current Receivables €472.0M€447.0M
Other Expense By Function €103.0M€86.0M
Other Finance Income Cost -€18.0M-€8.0M
Other Longterm Provisions €77.0M€64.0M
Other Noncurrent Financial Assets €108.0M€124.0M
Payments To Acquire Or Redeem Entitys Shares €1.0M€10.0M
Proceeds From Government Grants Classified As Investing Activities €1.0M€4.0M
Proceeds From Sales of Intangible Assets Classified As Investing Activities €1.0M-€2.0M
Proceeds From Sales of Property Plant and Equipment Classified As Investing Activities €8.0M€17.0M
Research and Development Expense €257.0M€262.0M
Retained Earnings Profit Loss For Reporting Period €185.0M€170.0M
Revenue From Contracts With Customers €10.22B€10.48B
Share of Profit Loss of Associates and Joint Ventures Accounted For Using Equity Method €41.0M€44.0M
Trade and Other Payables €1.54B€1.59B
Treasury Shares €18.0M€38.0M
Methodology

Every line item above is a fact tagged in PLASTIC OMNIUM's annual report filed in the European Single Electronic Format (ESEF) under the IFRS taxonomy (ifrs-full) — the income statement, balance sheet and cash-flow statement as the filer reported them. Values are shown as-is, in the reporting currency (EUR), without rescaling; the row labels map to the underlying concept name (e.g. Revenue → ifrs-full:Revenue, Operating profit → ifrs-full:ProfitLossFromOperatingActivities, Diluted EPS → ifrs-full:DilutedEarningsLossPerShare), and any concept without a curated label is shown under “Other reported items” with its de-camel-cased tag name. Only consolidated, default-member facts are shown (segment / dimensional breakdowns are excluded).

“Derived metrics” (free cash flow, margins, ROE, …) are computed from those facts by the same model the U.S. financials pages use — not tagged by the filer.

Source: machine-readable OIM xBRL-JSON aggregated by filings.xbrl.org (XBRL International). Entity identity is resolved by LEI via the public-domain GLEIF register. This is reference data, not investment advice.