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TITC Titan Cement International SA

30.50
0.30 (0.99%)
Last Updated: 03:41:25
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 20162017201820192020202120222023
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Total Assets 2.79B2.6B2.87B2.86B2.68B2.68B2.99B3.21B
Total Current Assets 624.74M594.1M665.14M571.2M665.62M634M812.22M1.02B
Cash and Equivalents 179.71M154.25M171M90.39M206.44M79.88M105.7M194.53M
Total Non-Current Assets 1.55B1.37B1.47B1.41B1.27B1.34B1.42B1.58B
Total Liabilities 1.24B1.23B1.4B1.45B1.41B1.34B1.57B1.63B
Total Current Liabilities 406.99M296.45M492.2M401.49M545.25M440.83M573.85M846.07M
Total Non-Current Liabilities 1.54B1.75B1.65B1.83B1.53B1.59B1.76B1.27B
Total Equity 1.55B1.37B1.47B1.41B1.27B1.34B1.42B1.58B
Common Equity 338.53M253.9M291.98M1.16B000959.35M
Retained Earnings 374.11M409.16M449.98M429.03M0001.54B