Financial Information

Key Figures

  31/12/2021 31/12/2020
(revised)
Income statement in thousands of €
Operating Revenue 1,136,297 1,110,664
EBITDA 809,533 739,528
EBIT 394,558 320,883
Net Profit 247,094 200,009
Balance sheet in thousands of €
Investments for the period in property, plant and equipment 100,886 136,642
Total property, plant and equipment 5,213,095 5,343,691
Equity 3,607,949 3,512,017
Net Financial Debt 2,320,786 3,149,841
Total consolidated balance sheet 8,042,330 7,980,403
Financial Ratios
Solvency 39% 47%
Interest Coverage 10.2 8.7
Net financial debt/extended RAB 37% 49%
FFO/net financial debt  26% 17%
RCF/net financial debt 17% 11%
Indicators (in millions of €)
Extended RAB 6,343.1 6,397.2
   Transmission 2,925.9 2,935.0
   Storage 228.8 235.6
   LNG terminalling (in Belgium) 303.0 302.7
Property, plant and equipment outside RAB 2,885.3 2,924.0

General meeting

Ordinary General Meeting on 10 May 2022 

The Board of directors of Fluxys SA/NV has the honour of inviting the Company's shareholders to attend the Ordinary General Meeting to be held at 1.00 p.m. on Tuesday 10 May 2022 at the Company's registered office, Avenue des Arts 31 in 1040 Brussels, Belgium.

You will find more information on the practical arrangements to follow in the documents below.