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Key figures

Below, based on financial key figures from the consolidated financial statements, we give a short summary of our financial developments and achievements (in millions of Euros). The figures for 2022 were adjusted for the sake of comparison.

 

Operating income

Staff costs

Net profits

2023

1,643.00

863.2

58.8

2022

1,539.10

802.7

20.1

2021

1,485.40

777.6

6.6

    
 

Group equity

Provisions

Total assets

2023

517.5

77.8

1,178.90

2022

461.4

52.7

1,088.40

2021

441.1

45

1,005.90

    
 

Return on equity

Capital ratio

Liquidity

2023

3.60%

43.90%

1.75

2022

1.30%

42.30%

1.59

2021

0.40%

43.80%

1.63