K+S
| WVB Number : DEU000002450 | Country : Federal Republic of Germany |
| SIC categorization : INDL INORGANIC CHEMICALS (2810) | ISIN : N/A |
| FT categorization : CHEMICALS-DIVERSIFIED (622) | |
| Company status: ACTIVE |
» Corporation Profile :
| Profile in brief: The Company is a Germany-based company, operating in the chemical sector. It divides its activities into five business segments. First, the Potash and Magnesium Products segment is engaged in the crude potash and magnesium salts extraction and in processing raw materials into products for technical, industrial and pharmaceutical applications. Secondly, the COMPO segment offers potting soils, garden fertilizers, plant protection products and fertilizers for special crops, horticulture, sports fields and public green areas. Thirdly, the fertiva segment distributes fertilizers. Fourthly, the Salt segment offers food grade salt, industrial salt and salt for chemical use; as well as, de-icing salt applied to ensure road safety. Fifthly, the Complementary Business segments include recycling activities and the disposal and reutilization of waste salt mines, granulation of CATASAN, logistics, and trading in different basic chemicals. |
|
| Phone : 49 561 9301 0 | Fax : 561 9301 1753 |
| Chairman: : GERHARD R WOLF | Auditor : DELOITTE & TOUCHE GMBH WIRTSCHAFTSPRUEFUNGSGESELLSCHAFT |
| CEO/Managing Director : NORBERT STEINER | |
» Company Facts
| Net Profit Margin (%) | 8.98 |
| Operating Margin (%) | 14.90 |
| Return on Assets (%) | 8.32 |
| Return on Equity (%) | 18.92 |
| Employees | 15,241 |
» Company Financials
| Annual (2010) | |
| Income Statement ('000 EUR ) |
|
| Sales/Total Revenue | 4,993,800 |
| EBITDA | 1,000,400 |
| EBIT | 728,000 |
| Net Income | 448,600 |
| Balance Sheet ( '000 EUR) |
|
| Total Current Assets | 2,637,300 |
| Total Assets | 5,573,700 |
| Current Liabilities | 1,003,000 |
| Total Liabilities & Debt | 2,924,700 |
| Total Equity | 2,649,000 |
| Cash & Flow ( '000 EUR) |
|
| Net Income/Staring Line | 726,900 |
| Cash from Operating | 765,339 |
| Cash from Investing | -190,200 |
| Cash from Financing | -454,200 |
| Cash & Equivalent Yr End | 748,400 |



