Below are the financial statements of Kerry Group, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
All figures in millions of EUR | 2024 | 2023 |
---|---|---|
Continuing operations | — | — |
Revenue | 6,929.1a | 6,974.9a |
Earnings before interest, tax, depreciation and amortisation | 1,188a | 1,111.7a |
Depreciation (net) and intangible asset amortisation | -299.4a | -277.5a |
Non-trading items | -55.8a | 8.1a |
Operating profit | 832.8a | 842.3a |
Finance income | 34.8a | 21.8a |
Finance costs | -88.3a | -71.8a |
Share of joint ventures’ results after taxation | -0.9a | -1.9a |
Profit before taxation | 778.4a | 790.4a |
Income taxes | -105a | -89.7a |
Profit from continuing operations | 673.4a | 700.7a |
Profit from discontinued operations | 61a | 27.4a |
Profit after taxation | 734.4a | 728.1a |
Attributable to: | — | — |
Equity holders of the parent - continuing operations | 673.4a | 700.9a |
Equity holders of the parent - discontinued operations | 61a | 27.4a |
Non-controlling interests - continuing operations | 0a | -0.2a |
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