Heijmans N : Roadshow booklet annual results 2021.pdf (11.7 MB)
February 12, 2021 at 07:37 am EST
Share
Key figures FY 2020
(x € 1 million)
H2 2020
H2 2019
2020
2019
Revenues
907
870
1.746
1.600
Underlying EBITDA *
44
42
85
78
Result after tax
25
15
40
30
Earnings per share (in €)
1,14
0,69
1,85
1,40
Order book
1.946
2.124
1.946
2.124
Net debt (cash)
-37
30
-37
30
Solvency
29%
25%
29%
25%
Number of FTE
4.707
4.595
4.707
4.595
H2 2020
2020
907
44
25
1,14
1.946
-37
29%
4.707
1.746
85
40
1,85
1.946
-37
29%
4.707
* Underlying EBITDA is the operating result before depreciation, including EBITDA from joint ventures, excluding write down on property assets, restructuring costs, book result on sale of subsidiaries and the contribution of assets to newly founded entities, and costs of soil remediation related to the sale of industrial parks.
Contents
•
Company profile
4 - 13
•
Strategy
14 - 25
•
Environmental, Social, Corporate Governance (ESG)
26 - 31
•
Dutch construction market
32 - 39
•
2020 Interim results / Outlook
40 - 47
•
Financing, cash flow, financial statements
48 - 55
•
Case studies
56 - 66
•
Appendices
67 - 76
•
Resumes Executive Board
68
•
Taxes
69
•
Property development process
70
•
Risk Management approach
71
•
Implementation new ERP platform
72
•
Percentage of completion method
73
•
Project images in this handout
74
•
Contact details / Disclaimer
75
HEIJMANS ONE
Company profile
4
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Heijmans NV published this content on 12 February 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 12 February 2021 12:36:03 UTC.
Koninklijke Heijmans N.V. is the No.3 in the Netherlands of building and public works group. Net sales break down by activity as follows:
- construction and restoration of buildings (43.9%): houses, offices, schools, hospitals, stadiums, industrial sites, etc.;
- construction and maintenance of infrastructures (36.6%): highways, bridges, pipelines, roads, tram lines, etc.;
- property development (19.4%);
- other (0.1%).