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Company headquarters of A.S. Création Tapeten AG, Gummersbach Derschlag, Germany
 

Annual reports

       
Key figures 201720182019 2020 2021
Sales €'000 143,329 134,485 141,057 144,869 145,639
Earnings before interest and taxes (EBIT) €'000 -15,808 -2,885 4,503 4,430 5,710
Earnings after income taxes €'000 -17,771 -5,977 14,133 1,453 3,867
Cash-flow from operating activities €'000 3,231 3,321 -2,139 7,009 7,978
Capital expeditures €'000 10,218 8,304 5,933 3,724 4,853
Depreciation €'000 6,538 6,060 5,715 5,497 5,703
Non-current assets €'000 52,785 52,502 44,496 41,864 41,659
Shareholders' equity €'000 75,715 72,233 79,427 78,881 81,024
Non-current liabilities €'000 18,060 25,831 26,162 24,090 20,738
Total assets €'000 130,714 128,650 128,000 127,492 126,806
Earnings per share €/share -6.45 -2.17 5.13 0.53 1.40
Dividend €/share 0.00 0.00 0.90 0.90 0.90
Number of employees (average)   761 755 750 752 771

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The admission of the A.S. Création share to the Prime Standard ended on May 12, 2021, and the A.S. Création share is listed in the General Standard as of May 13, 2021. As a capital market-orientated company, A.S. Création thus continues to be subject to the very high regulatory requirements of the Regulated Market. However, requirements beyond this, such as bilingual publications (German and English) are no longer fulfilled since May 13, 2021.