Abbott Laboratories

NYSE:ABT

114.15 (USD) • At close September 19, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 5,7016,9337,0714,4953,6872,3684771,3751,5832,2842,5765,962.924,728.4494,626.1725,745.8384,734.2163,606.3141,716.7553,372.0653,175.8362,753.2332,793.7031,550.392,785.9772,445.7592,333.2312,094.4621,882.0331,688.71,516.6831,399.1261,239.11,088.7965.8859.8
Afschrijvingen & Amortisatie 3,2433,2673,5383,3273,0143,2783,0211,3531,4721,5481,7192,783.2073,043.8942,624.3052,089.511,838.8291,854.8861,558.751,358.9391,288.71,273.9911,177.3451,168.018827.431828.006784.243727.754686.085566.423510.504484.081427.8379355.9307.3
Uitgestelde Inkomstenbelasting -8,4780000293-1,1612483144293951,850,454968,759328,411508,6691,008.843-4.772-44.5165.349-70.21928.7912.6160000000000000
Aandelen Gebaseerde Vergoedingen 644685640546519477406310292246262433383387.183366.357347.01546.33136.4749.745-10.22-7.65711.7190000000000000
Verandering in Werkkapitaal -2,475-1,519-771-892-1,331-1481,915-1,513-156-490-1,237-1,859.8331.067658.784-341.382-39.686-1,063.365-548.061173.941-484.919-496.819-30.276-641.896-445.197-419.956-461.195-338.465-239.861-337.597154.516-2.055-282.5-61.8-111.2-212.3
Vorderingen -356-68-383-924-275-190-207-177-171-195-11335.996-670.152-394.665-387.749-948.31412.8921.069-158.9875.44440.568-137.709-279,167-260.7900000000000
Voorraden -232-1,413-456-493-593-514249-98-257-297-154-417.053-129.621139.857230.555-257.476131.324104.653-88.257-285.3287.007-190.975-184.953-361.377-147.778-111.649-98.964-125.726-93.184-52.293-91.49-109.1-44.8-54.7-96.8
Crediteuren -7604201,2881,766220747615-652-742-225-436-134.2091,789.652572.533-374.715569.056-59.375-80.092-62.429-99.93-17.79456.666732,482621.07800000000000
Overig Werkkapitaal -1,127-458-1,220-1,241-683-1911,258-5861,014227-534-1,344.567-988.812341.059190.527597.048-1,148.204-593.691483.607-175.105-526.6241.742-453,771.943-444.108-272.178-349.546-239.501-114.135-244.413206.80989.435-173.4-17-56.5-115.5
Overige Niet-Contante Posten 8,62621555425247329121,430-539-342-391-1,848,459.007-967,944.935-327,971.463-509,254.163-545.026744.452,509.833194.377508.765194.909227.8371,490.336-68.59383.71276.622145.01653.80548.05530.434-34.2434.447.3-9.65.1
Kasstroom uit Operationele Activiteiten 7,2619,58110,5337,9016,1366,3005,5703,2032,9663,6753,3249,314.4018,970.0778,735.9817,275.167,344.1915,183.8435,329.2415,174.4164,407.9433,746.4484,182.9443,566.8483,099.6182,937.5212,732.9012,628.7672,382.0621,965.5812,212.1371,846.9091,388.81,453.21,200.9959.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,202-1,777-1,885-2,177-1,638-1,394-1,135-1,121-1,110-1,077-1,145-1,795.289-1,491.5-1,015.075-1,089.048-1,287.724-1,656.207-1,337.818-1,207.493-1,291.633-1,246.741-1,296.397-1,163.707-1,035.873-987.098-1,242.7-1,209.6-949000-1,007.2-770.6-641.4-573.1
Netto Overnames -83748-5316-12248-8,437-552,285-3,317-580-1,227.473-672.5-9,433.243-2,370.63-2500-7,923.163-295.123-2,327.821-497.914-585.999-7,424.356205-217-1,239.796-1,207.771-1,779.587-947.021-929.488-952.7320000
Aankoop van Beleggingen -159-185-173-83-103-131-210-2,823-4,933-1,507-10,064-11,997.654-5,109.987-805.932-248.97-923.937535.585-2,129.412-15.67-543.292-289.432-156.078-179.618-68.085-175.694-278.002-25.115-312.535-183.443-226.728-335.915-178.7-284.1-309.7-448.8
Verkoop/verval van Beleggingen 43152771021731293,7094,1125,6247,8398,936.4065,648.72954.36116.306449.23117.8318.476783.599224.923337.017140.284309,161235.839169.35678.89843.424117.78367.13185.268447.983496.1398.7310.9591
Overige Investeringsactiviteiten 22222619274835425275212.7221,886.099-1,888.426-6.368-75.061-33.485-25.71214.614.43366.46516.57-308,778.19345.45512.18718.034-8.20919.09825.61126.86346.82622.213.921.938.7
Kasstroom uit Investeringsactiviteiten -3,133-1,740-2,008-2,215-1,815-1,356-9,618-248406-202-3,929-6,081.288260.832-12,188.315-3,698.71-2,087.491-1,136.277-11,397.629-720.087-3,923.39-1,630.605-1,881.62-8,384.874-617.664-1,198.249-1,420.866-1,197.671-1,955.241-1,037.723-944.085-793.838-667.6-642.1-618.3-392.2
Financieringsactiviteiten:
Schuldaflossingen -2,475-753-48-1,333-3,441-12,433-8,650-12-57-577-303-11,071.178-3,012.426-1,673.998-2,483.176-913.948000000-2,741,000-67000000000-109.500
Uitgifte van Gewone Aandelen 1671672551,5282982716,05813,4151,5181,7722,490000001,249.804502.782223.637155.19775.035137.004169.422135.57434.183150.881137.482109.63876.5436.21427.5367457.951.326.6
Terugkoop van Gewone Aandelen -1,227-3,795-2,299-403-718-238-827-522-2,237-2,195-1,605-2,364.24-77.007-866.825-826.345-1,081.806-1,058.793-754.502-1,302.314-499.745-97.6170-17.364-464.8560-875.407-1,054.512-808.816-771.411-615.946-465.822-607.6-317.8-605.6-289.5
Uitgekeerde Dividenden -3,556-3,309-3,202-2,560-2,270-1,974-1,849-1,539-1,443-1,342-882-3,183-2,938-2,671.475-2,414.46-2,174.252-1,959.15-1,777.17-1,686.472-1,599.77-1,515.703-1,427.85-1,270.782-1,145.894-1,003.3-891.7-809.6-728.1-653.567-602.356-548.044-488.4-410.3-351.2-301.9
Overige Financieringsactiviteiten -2,28754-200-111,8424,254-13-195-17-400-6,39617,334.3224.0744,124.5576,726684.104-544.4935,650.817172.8331,505.998-467.927-1,019.1282,746,742.54-2.769-857.714382.501418.085835.037414.565-97.834122.463364.5-0.1347.3-371.1
Kasstroom uit Financieringsactiviteiten -7,091-7,636-5,494-2,779-4,289-10,391-5,28111,147-2,236-2,742-6,696716.093-6,023.455-1,087.7411,002.019-3,485.902-2,312.6323,621.927-2,592.316-438.32-2,006.212-2,309.9744,623.816-2,147.949-1,426.826-1,233.686-1,308.499-592.288-933.873-1,279.922-863.867-657.5-779.8-558.2-935.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -23-122-7071-16-116116-483-198-143-2640.137-43.005-620.893118.848-115.16200.25873.966-193.954184.271181.04355.722-62.63-27.884-19.587-0.143-2.782-5.521-3.061.466-5.104-7.6-4.9-4-9.1
Netto Kasstroomverandering -2,986832,9612,97816-5,563-9,21313,619938588-7,3273,989.3433,164.449-5,160.9684,697.3171,655.6381,935.192-2,372.4951,668.059230.504290.67447.072-256.84306.121292.85978.206119.815-170.988-9.075-10.404184.156.126.420.4-377.3
Kaspositie aan het Einde van de Periode 6,8969,8829,7996,8383,8603,8449,40718,6205,0014,0633,47510,802.1636,812.823,648.3718,809.3394,112.0222,456.384521.1922,893.6871,225.628995.124704.45657.378914.218608.097308.23230.024110.209281.197290.272300.676116.560.43413.6