Annual Report 2011
Home
Download Center
Contact
Recommend
Print
Deutsch
you are here:
Annual Report 2011
/
Financial Statements
/
Notes
/
Notes to the consolidated balance sheet – assets
/
Cash and cash equivalents
9. Cash and cash equivalents
in € thousand
31.12.2011
31.12.2010
Short-term deposits/time deposits
45,783
51,742
Current accounts
18,611
14,030
Cash
14
12
64,408
65,784
Continue reading: Equity and reserves
Back to: Maturity of trade receivables and other assets
Quickfinder
Notes
Shareholding
Report of the Supervisory Board
Stock markets
Balance sheet
Corporate Governance
Center-Share
Changes in equity
Income statement
Cash flow statement
Reader's letters
Multi-year-overview
Outlook
Risk Report
Environment
Financial Calendar
Remuneration report
Interview with the Executive Board
Key data
Our values – Our goals
Foreword
Shopping
Our portfolio
Investor Relations
Group Management Report
Financial Statements
Balance sheet
Income statement
Statement of comprehensive income
Cash flow statement
Statement of changes in equity
Notes
Auditor’s report
Service
History
Cash and cash equivalents
& Social Media
Facebook
Twitter
Flickr
SlideShare
YouTube
Blog: IR Mall
© 2005-2012 Deutsche EuroShop AG
Disclaimer
Privacy
Legal
Sitemap