Cours en clôture
Casablanca S.E.
25/04/2025
|
Varia. 5j.
|
Varia. 1 janv.
|
267,00 MAD
|
-0,24 %
|
|
-1,11 %
|
-2,91 %
|
be11fad4dbad.C5MF7X6P1jzm_DAeriwd5T6mknw0LrdQWv9FFfqoXqs.O6VX2jbNsgi_kn1Q_11zqW7s2Dh7W883bYYqVrDyJ51jw0qCB8CeCJauQwPériode Fiscale: Décembre | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|
| | | | | |
16,38 Md
|
16,85 Md
|
17,3 Md
|
19,49 Md
|
19,74 Md
| | | | | | |
244 M
|
330 M
|
353 M
|
472 M
|
942 M
| | | | | | |
16,62 Md
|
17,18 Md
|
17,65 Md
|
19,97 Md
|
20,68 Md
| | | | | | |
5,18 Md
|
4,9 Md
|
4,54 Md
|
5,75 Md
|
5,71 Md
| | | | | | |
5,18 Md
|
4,9 Md
|
4,54 Md
|
5,75 Md
|
5,71 Md
| | | | | | |
11,45 Md
|
12,28 Md
|
13,12 Md
|
14,22 Md
|
14,96 Md
| | | | | | |
-31,8 M
|
-
|
-
|
-
|
-
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
6,37 Md
|
7,01 Md
|
6,97 Md
|
6,39 Md
|
7,83 Md
| | | | | | |
6,34 Md
|
7,01 Md
|
6,97 Md
|
6,39 Md
|
7,83 Md
| | | | | | |
17,78 Md
|
19,29 Md
|
20,09 Md
|
20,61 Md
|
22,79 Md
| | | | | | |
2,57 Md
|
6,13 Md
|
5,54 Md
|
4,29 Md
|
5,36 Md
| | | | | | |
15,22 Md
|
13,16 Md
|
14,55 Md
|
16,32 Md
|
17,44 Md
| | | | | | |
1,35 Md
|
1,49 Md
|
676 M
|
1,34 Md
|
1,23 Md
| | | | | | |
2,65 M
|
2,55 M
|
1,12 M
|
470 k
|
1,54 M
| | | | | | |
7,91 Md
|
9,57 Md
|
8,76 Md
|
9,35 Md
|
9,79 Md
| | | | | | |
9,26 Md
|
11,07 Md
|
9,44 Md
|
10,69 Md
|
11,02 Md
| | | | | | |
5,96 Md
|
2,09 Md
|
5,11 Md
|
5,62 Md
|
6,41 Md
| | | | | | |
3,65 M
|
32,36 M
|
-662 M
|
2,76 M
|
-150 M
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
5,96 Md
|
2,12 Md
|
4,45 Md
|
5,63 Md
|
6,26 Md
| | | | | | |
2,07 Md
|
838 M
|
1,73 Md
|
2,11 Md
|
2,13 Md
| | | | | | |
3,89 Md
|
1,28 Md
|
2,73 Md
|
3,51 Md
|
4,13 Md
| | | | | | |
3,89 Md
|
1,28 Md
|
2,73 Md
|
3,51 Md
|
4,13 Md
| | | | | | |
-889 M
|
-53,98 M
|
-961 M
|
-762 M
|
-658 M
| | | | | | |
3 Md
|
1,23 Md
|
1,76 Md
|
2,75 Md
|
3,48 Md
| | | | | | |
3 Md
|
1,23 Md
|
1,76 Md
|
2,75 Md
|
3,48 Md
| | | | | | |
3 Md
|
1,23 Md
|
1,76 Md
|
2,75 Md
|
3,48 Md
|
Éléments par action
| | | | | | | | | | |
---|
| | | | | |
14,83
|
6,08
|
8,68
|
13,52
|
17,09
| | | | | | |
14,83
|
6,08
|
8,68
|
13,52
|
17,09
| | | | | | |
202 M
|
202 M
|
203 M
|
203 M
|
203 M
| | | | | | |
14,83
|
6,08
|
8,68
|
13,52
|
17,09
| | | | | | |
14,83
|
6,08
|
8,68
|
13,52
|
17,09
| | | | | | |
202 M
|
202 M
|
203 M
|
203 M
|
203 M
| | | | | | |
14,01
|
6,19
|
10,99
|
13,54
|
16,47
| | | | | | |
14,01
|
6,19
|
10,99
|
13,54
|
16,47
| | | | | | |
8
|
8
|
8,5
|
9
|
10
|
Éléments supplémentaires
| | | | | | | | | | |
---|
| | | | | |
34,76
|
39,51
|
38,78
|
37,59
|
34
| | | | | | |
2,83 Md
|
1,25 Md
|
2,23 Md
|
2,75 Md
|
3,35 Md
|
Période Fiscale: Décembre | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|
Actifs
| | | | | | | | | | |
---|
| | | | | |
15,46 Md
|
16,71 Md
|
21,76 Md
|
18,85 Md
|
15,48 Md
| | | | | | |
66,14 Md
|
73,51 Md
|
79,49 Md
|
103 Md
|
109 Md
| | | | | | |
53,36 Md
|
59,86 Md
|
65,13 Md
|
57,04 Md
|
62,45 Md
| | | | | | |
119 Md
|
133 Md
|
145 Md
|
160 Md
|
171 Md
| | | | | | |
287 Md
|
287 Md
|
290 Md
|
318 Md
|
330 Md
| | | | | | |
-25,22 Md
|
-28,57 Md
|
-28,95 Md
|
-30,16 Md
|
-29,94 Md
| | | | | | |
262 Md
|
258 Md
|
261 Md
|
287 Md
|
300 Md
| | | | | | |
25,72 Md
|
26,11 Md
|
20,24 Md
|
20 Md
|
22,09 Md
| | | | | | |
-9,12 Md
|
-10,19 Md
|
-10,23 Md
|
-10,99 Md
|
-11,89 Md
| | | | | | |
16,6 Md
|
15,91 Md
|
10,01 Md
|
9,01 Md
|
10,2 Md
| | | | | | |
2,47 Md
|
2,44 Md
|
2,38 Md
|
2,48 Md
|
2,41 Md
| | | | | | |
1,12 Md
|
1,17 Md
|
1,09 Md
|
1,06 Md
|
1,13 Md
| | | | | | |
-
|
-
|
7,14 Md
|
7,39 Md
|
6,62 Md
| | | | | | |
8,44 Md
|
8,86 Md
|
11,07 Md
|
7,53 Md
|
7,1 Md
| | | | | | |
1,34 Md
|
1,75 Md
|
1,91 Md
|
1,78 Md
|
1,81 Md
| | | | | | |
999 M
|
1,21 Md
|
1,92 M
|
222 k
|
16,88 M
| | | | | | |
3,71 Md
|
4,4 Md
|
4,21 Md
|
4,73 Md
|
4,51 Md
| | | | | | |
-
|
-
|
-
|
-1 k
|
161 M
| | | | | | |
431 Md
|
444 Md
|
465 Md
|
501 Md
|
520 Md
|
Passifs
| | | | | | | | | | |
---|
| | | | | |
9,41 Md
|
10,06 Md
|
13,33 Md
|
12,85 Md
|
12,95 Md
| | | | | | |
108 Md
|
109 Md
|
110 Md
|
110 Md
|
106 Md
| | | | | | |
201 Md
|
219 Md
|
232 Md
|
259 Md
|
268 Md
| | | | | | |
309 Md
|
328 Md
|
341 Md
|
369 Md
|
374 Md
| | | | | | |
25,61 Md
|
14,41 Md
|
19,84 Md
|
22,56 Md
|
40,15 Md
| | | | | | |
30,44 Md
|
34,01 Md
|
27,43 Md
|
29,47 Md
|
22,34 Md
| | | | | | |
1,48 Md
|
1,27 Md
|
1,01 Md
|
792 M
|
1,12 Md
| | | | | | |
1,52 Md
|
2,03 Md
|
2,98 Md
|
2,03 Md
|
2,78 Md
| | | | | | |
999 M
|
1,21 Md
|
1,92 M
|
222 k
|
16,88 M
| | | | | | |
3,43 Md
|
4,25 Md
|
4,22 Md
|
3,77 Md
|
3,77 Md
| | | | | | |
811 M
|
843 M
|
903 M
|
958 M
|
1 Md
| | | | | | |
5 Md
|
5,12 Md
|
6,25 Md
|
6,76 Md
|
7,48 Md
| | | | | | |
388 Md
|
401 Md
|
417 Md
|
448 Md
|
466 Md
| | | | | | |
28,31 Md
|
28,19 Md
|
28,91 Md
|
29,44 Md
|
29,93 Md
| | | | | | |
3 Md
|
1,23 Md
|
1,76 Md
|
2,75 Md
|
3,48 Md
| | | | | | |
3,36 Md
|
3,17 Md
|
1,98 Md
|
771 M
|
1,5 Md
| | | | | | |
34,67 Md
|
32,59 Md
|
32,65 Md
|
32,96 Md
|
34,91 Md
| | | | | | |
8,91 Md
|
10,63 Md
|
14,94 Md
|
19,34 Md
|
19,65 Md
| | | | | | |
43,58 Md
|
43,22 Md
|
47,6 Md
|
52,29 Md
|
54,56 Md
| | | | | | |
431 Md
|
444 Md
|
465 Md
|
501 Md
|
520 Md
|
Éléments supplémentaires
| | | | | | | | | | |
---|
| | | | | |
202 M
|
202 M
|
203 M
|
203 M
|
203 M
| | | | | | |
202 M
|
202 M
|
203 M
|
203 M
|
203 M
| | | | | | |
171,26
|
161,32
|
160,69
|
162,08
|
171,65
| | | | | | |
31,07 Md
|
28,99 Md
|
29,18 Md
|
29,42 Md
|
31,36 Md
| | | | | | |
153,51
|
143,48
|
143,58
|
144,67
|
154,21
| | | | | | |
57,53 Md
|
49,68 Md
|
48,28 Md
|
52,83 Md
|
63,62 Md
| | | | | | |
4,84 Md
|
9,57 Md
|
7,12 Md
|
5,21 Md
|
1,8 Md
| | | | | | |
-22,94 Md
|
-43,06 Md
|
-54,5 Md
|
-37,39 Md
|
-27,26 Md
| | | | | | |
36,7 M
|
22,45 M
|
21,34 M
|
22,65 M
|
25,14 M
| | | | | | |
2,78 k
|
2,69 k
|
2,66 k
|
2,58 k
|
2,57 k
|
Période Fiscale: Décembre | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|
| | | | | |
3 Md
|
1,23 Md
|
1,76 Md
|
2,75 Md
|
3,48 Md
| | | | | | |
1,19 Md
|
1,46 Md
|
1,34 Md
|
1,34 Md
|
1,38 Md
| | | | | | |
68,43 M
|
-
|
-
|
-
|
-
| | | | | | |
1,26 Md
|
1,46 Md
|
1,34 Md
|
1,34 Md
|
1,38 Md
| | | | | | |
-841 M
|
-871 M
|
-757 M
|
-1,17 Md
|
-2,47 Md
| | | | | | |
1,93 Md
|
4,37 Md
|
1,37 Md
|
1,39 Md
|
1,29 Md
| | | | | | |
-3,65 M
|
-32,36 M
|
662 M
|
-2,76 M
|
150 M
| | | | | | |
2,65 M
|
2,55 M
|
1,12 M
|
470 k
|
1,54 M
| | | | | | |
-2,23 Md
|
-1,41 Md
|
-1,12 Md
|
-3,71 Md
|
-1,34 Md
| | | | | | |
-10,58 Md
|
-175 M
|
-6,16 Md
|
-1,21 Md
|
-12,75 Md
| | | | | | |
2,96 Md
|
1,69 Md
|
3,83 Md
|
3,03 Md
|
2,3 Md
| | | | | | |
-4,51 Md
|
6,26 Md
|
923 M
|
2,4 Md
|
-7,96 Md
| | | | | | |
-1,42 Md
|
-1,16 Md
|
-1,13 Md
|
-1,46 Md
|
-1,79 Md
| | | | | | |
-
|
-
|
90,05 M
|
-144 M
|
601 M
| | | | | | |
4,61 Md
|
2,75 Md
|
1,07 Md
|
-8,82 Md
|
3,08 Md
| | | | | | |
3,19 Md
|
1,59 Md
|
30,02 M
|
-10,42 Md
|
1,89 Md
| | | | | | |
4,97 Md
|
-
|
278 M
|
-
|
-
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
-1,78 Md
|
-1,73 Md
|
1,61 Md
|
2,42 Md
|
-320 M
| | | | | | |
3,19 Md
|
-1,73 Md
|
1,89 Md
|
2,42 Md
|
-320 M
| | | | | | |
-91,26 M
|
-151 M
|
-252 M
|
775 M
|
-393 M
| | | | | | |
-
|
-
|
-
|
-
|
-
| | | | | | |
1,77 Md
|
5,97 Md
|
2,59 Md
|
-4,82 Md
|
-6,77 Md
|
Éléments supplémentaires
| | | | | | | | | | |
---|
| | | | | |
2,23 Md
|
1,41 Md
|
1,12 Md
|
3,71 Md
|
1,34 Md
|
Période Fiscale: Décembre | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|
Rentabilité
| | | | | | | | | | |
---|
| | | | | |
0,94
|
0,29
|
0,6
|
0,73
|
0,81
| | | | | | |
9,51
|
2,96
|
6
|
7,03
|
7,74
| | | | | | |
9,51
|
3,66
|
5,41
|
8,38
|
10,24
| | | | | | |
-716 M
|
-2,81 Md
|
-2,15 Md
|
-1,19 Md
|
-597 M
|
Analyse des marges
| | | | | | | | | | |
---|
| | | | | |
8,87
|
11,35
|
4,64
|
8,2
|
7,05
| | | | | | |
75,21
|
93,3
|
90,15
|
87,15
|
85,81
| | | | | | |
39,14
|
15,88
|
35,14
|
34,47
|
36,78
| | | | | | |
25,55
|
9,75
|
18,73
|
21,53
|
23,7
| | | | | | |
19,71
|
9,34
|
12,13
|
16,85
|
19,93
| | | | | | |
19,71
|
9,34
|
12,13
|
16,85
|
19,93
| | | | | | |
18,62
|
9,51
|
15,36
|
16,87
|
19,21
|
Qualité des actifs
| | | | | | | | | | |
---|
| | | | | |
8,92
|
10,22
|
10,22
|
9,68
|
9,72
| | | | | | |
5,93
|
6,6
|
6,37
|
6,14
|
6,16
| | | | | | |
5,93
|
6,6
|
6,37
|
6,14
|
6,16
| | | | | | |
8,92
|
10,22
|
10,22
|
9,68
|
9,72
| | | | | | |
58,75
|
67,85
|
62,21
|
58,76
|
58,75
| | | | | | |
4,16 k
|
2,45 k
|
1,19 k
|
1,1 k
|
940,1
| | | | | | |
98,53
|
97,43
|
97,77
|
98,15
|
93,43
| | | | | | |
8,79
|
9,95
|
9,99
|
9,5
|
9,08
| | | | | | |
423,22
|
525,12
|
226,74
|
156,3
|
168,22
|
Capital et financement
| | | | | | | | | | |
---|
| | | | | |
7,62
|
7,68
|
7,18
|
6,79
|
6,65
| | | | | | |
9,87
|
9,91
|
9,99
|
10,34
|
10,47
| | | | | | |
20,87
|
21,31
|
21,26
|
19,88
|
19,67
| | | | | | |
92,84
|
87,55
|
84,86
|
86,02
|
88,14
| | | | | | |
84,68
|
78,83
|
76,38
|
77,85
|
80,14
| | | | | | |
- |
- |
- |
11,15
|
- | | | | | | |
- |
- |
- |
13,37
|
- | | | | | | |
- |
- |
- |
11,03
|
10,86
| | | | | | |
- |
- |
- |
2,22
|
- | | | | | | |
98,53
|
97,43
|
97,77
|
98,15
|
93,43
| | | | | | |
33,63
|
57
|
47
|
56,8
|
43,55
|
Couverture des charges fixes
| | | | | | | | | | |
---|
| | | | | |
2,15
|
1,43
|
1,98
|
1,98
|
2,1
|
Croissance par rapport à l'année précédente
| | | | | | | | | | |
---|
| | | | | |
1,15
|
7,26
|
6,84
|
8,4
|
5,14
| | | | | | |
7,56
|
10,04
|
-0,57
|
-8,33
|
22,83
| | | | | | |
-18,62
|
138,79
|
-9,65
|
-22,46
|
24,8
| | | | | | |
8,28
|
-13,71
|
10,58
|
12,14
|
6,88
| | | | | | |
9,75
|
-67
|
112,4
|
28,86
|
17,72
| | | | | | |
1,93
|
-59,02
|
43,56
|
55,82
|
26,42
| | | | | | |
7,82
|
-55,83
|
78,57
|
23,17
|
21,71
| | | | | | |
-8,17
|
-59
|
42,76
|
55,76
|
26,41
| | | | | | |
- |
0
|
6,25
|
5,88
|
11,11
| | | | | | |
7,4
|
0,01
|
0,95
|
9,58
|
3,84
| | | | | | |
23,33
|
13,28
|
1,32
|
4,19
|
-0,72
| | | | | | |
6,08
|
-1,27
|
0,91
|
10,18
|
4,32
| | | | | | |
22,58
|
14,56
|
0,96
|
3,78
|
4,3
| | | | | | |
22,58
|
14,56
|
0,96
|
3,78
|
4,3
| | | | | | |
8,78
|
2,98
|
4,67
|
7,66
|
3,92
| | | | | | |
8,91
|
6,05
|
4,15
|
8,1
|
1,34
| | | | | | |
20,58
|
-6,71
|
0,66
|
0,82
|
6,58
| | | | | | |
22,09
|
-5,99
|
0,2
|
0,93
|
5,9
| | | | | | |
14,11
|
-0,81
|
10,12
|
9,87
|
4,32
|
Taux de croissance annuel composé sur deux ans
| | | | | | | | | | |
---|
| | | | | |
4,72
|
4,16
|
7,05
|
7,62
|
6,8
| | | | | | |
3,53
|
9,06
|
4,6
|
-4,53
|
6
| | | | | | |
-8,87
|
39,4
|
46,88
|
-16,3
|
-1,63
| | | | | | |
7,13
|
-3,24
|
-2,32
|
11,35
|
9,47
| | | | | | |
6,75
|
-39,82
|
-16,28
|
65,44
|
23,15
| | | | | | |
2,72
|
-35,37
|
-23,3
|
49,57
|
40,34
| | | | | | |
6,98
|
-30,99
|
-11,19
|
48,3
|
22,43
| | | | | | |
-2,5
|
-38,64
|
-23,5
|
49,12
|
40,32
| | | | | | |
- |
- |
3,08
|
6,07
|
8,47
| | | | | | |
6,54
|
3,64
|
0,48
|
5,18
|
6,67
| | | | | | |
13
|
18,2
|
7,13
|
2,74
|
1,7
| | | | | | |
5,97
|
2,34
|
-0,19
|
5,44
|
7,21
| | | | | | |
- |
18,5
|
7,55
|
2,36
|
4,04
| | | | | | |
- |
18,5
|
7,55
|
2,36
|
4,04
| | | | | | |
6,46
|
5,84
|
3,82
|
6,15
|
5,77
| | | | | | |
6,28
|
7,47
|
5,1
|
6,11
|
4,67
| | | | | | |
13,1
|
6,06
|
-3,09
|
0,74
|
3,67
| | | | | | |
13,64
|
7,13
|
-2,94
|
0,56
|
3,39
| | | | | | |
9,9
|
6,39
|
4,51
|
10
|
7,06
|
Taux de croissance annuel composé sur trois ans
| | | | | | | | | | |
---|
| | | | | |
3,22
|
5,56
|
5,05
|
7,5
|
6,82
| | | | | | |
6,37
|
5,83
|
5,75
|
0,1
|
3,77
| | | | | | |
-8,25
|
25,64
|
20,64
|
18,71
|
-4,38
| | | | | | |
7,2
|
-0,26
|
1,16
|
2,28
|
9,84
| | | | | | |
8,57
|
-27,82
|
-8,37
|
-3,33
|
47,69
| | | | | | |
4,3
|
-24,38
|
-15,67
|
-2,86
|
41,4
| | | | | | |
5,68
|
-20,34
|
-5,26
|
-0,96
|
38,84
| | | | | | |
0,75
|
-26,95
|
-18,7
|
-3,04
|
41,13
| | | | | | |
10,06
|
- |
- |
4
|
7,72
| | | | | | |
8,34
|
4,31
|
2,73
|
3,42
|
4,73
| | | | | | |
- |
13,09
|
12,28
|
6,14
|
1,58
| | | | | | |
5,06
|
3,5
|
1,86
|
3,16
|
5,07
| | | | | | |
- |
- |
12,34
|
6,28
|
3
| | | | | | |
- |
- |
12,34
|
6,28
|
3
| | | | | | |
7,05
|
5,29
|
5,45
|
5,08
|
5,4
| | | | | | |
5,98
|
6,2
|
6,35
|
6,09
|
4,49
| | | | | | |
5,39
|
6,07
|
4,23
|
-1,81
|
2,66
| | | | | | |
6,4
|
6,68
|
4,77
|
-1,67
|
2,32
| | | | | | |
4,53
|
6,2
|
7,62
|
6,27
|
8,07
|
Taux de croissance annuel composé sur cinq ans
| | | | | | | | | | |
---|
| | | | | |
2,71
|
3,2
|
4,74
|
6,38
|
5,75
| | | | | | |
5,95
|
7,18
|
5,77
|
1,56
|
5,85
| | | | | | |
-3,24
|
13,51
|
10,75
|
6,79
|
11,18
| | | | | | |
5,33
|
1,54
|
3,33
|
4,24
|
4,41
| | | | | | |
3,62
|
-15,74
|
-2,15
|
0,58
|
3,13
| | | | | | |
0,88
|
-13,31
|
-7,76
|
-0,66
|
3,38
| | | | | | |
1,31
|
-12,46
|
-1,42
|
2,14
|
4,97
| | | | | | |
3,18
|
-15,1
|
-9,75
|
-2,82
|
1,14
| | | | | | |
8,79
|
6,83
|
7,21
|
- |
- | | | | | | |
5,24
|
4,59
|
5,12
|
4,66
|
4,29
| | | | | | |
19,04
|
18,95
|
- |
8,83
|
7,92
| | | | | | |
4,33
|
3,52
|
2,93
|
4,27
|
3,97
| | | | | | |
12,92
|
12,44
|
- |
- |
8,95
| | | | | | |
12,92
|
12,44
|
- |
- |
8,95
| | | | | | |
6,86
|
6,2
|
5,74
|
5,63
|
5,58
| | | | | | |
6,09
|
5,34
|
5,62
|
6,16
|
5,67
| | | | | | |
1,93
|
2,82
|
1,91
|
3,9
|
4
| | | | | | |
3,07
|
3,67
|
2,56
|
4,19
|
4,22
| | | | | | |
6,37
|
3,61
|
4,52
|
7,7
|
7,4
|
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