ACCO Brands Corporation

NYSE:ACCO

5.38 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 66.462.241.236.627.86776.942.955.453.253.550121.283.243.618.142.35091.16.2599.56818.25159.9369.13711.0686.0953.7536.7216.8645.569
Kortetermijnbeleggingen 000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 66.462.241.236.627.86776.942.955.453.253.550121.283.243.618.142.35091.16.2599.56818.25159.9369.13711.0686.0953.7536.7216.8645.569
Nettovorderingen 430.7384.1416.1356453.7428.4469.3391369.3420.5471.9498.7269.5283.2259.9274.8415.3427.4438.9141.445128.391121.709114.606149.784163.216187.939160.787115.86579.94274.413
Voorraad 327.5395.2428305.1283.3340.6254.2210203.6229.9254.7265.5197.7216.1202.4266.5299.4277.6268.297.99686.2491.9297.982122.736126.347164.517143.56996.73479.60576.01
Overige vlottende activa 30.840.839.630.541.244.229.226.825.335.828.12926.925.321.472.329.83025.36.8094.9975.7075.1063.68327.58627.66310.3136.4413.8256.355
Totaal vlottende activa 855.4882.3924.9728.2806880.2829.6670.7653.6778.8841.7874.3622.9620.7537.1664.7821.9822.2861272.18258.113265.299305.052320.625359.033398.643327.745237.214180.648171.154
Niet-vlottende activa:
Materiële vaste activa, netto 261.1273.9319.8330.6369263.7279.6198.4209.1235.5253.3273.6147.2163.5181.1194.8238.3217.2239.884.69394.986110.026124.612135.108141.591126.436113.42169.01161.46165.53
Goodwill 590671.5802.5827.4718.6708.9669.2587.1496.9544.9568.3589.4135144.4143.4139.5415.2438.3433.8000261.247273.016283.059304.649204.54343.5131.36331.099
Immateriële activa 815.7847902.2977758.6787839.9565.7520.9571.4607646.6130.4138.2145.8149.9229.8233.6674.400000000000
Goodwill en immateriële activa 1,405.71,518.51,704.71,804.41,477.21,495.91,509.11,152.81,017.81,116.31,175.31,236265.4282.6289.2289.4645671.9674.4150.383152.008156.156261.247273.016283.059304.649204.54343.5131.36331.099
Langetermijnbeleggingen 3.24.910.232.1012.724.2000000000.600000000000000
Belastingvorderingen 104.799.7115.9136.5119115.1137.927.325.131.737.336.416.7168.331.581.791.979.217.4000.80200000000
Overige niet-vlottende activa 14.715.415.816.917.418.818.715.347.864.175.387.464.5-47.467.951101.459.1136.933.15825.47619.69528.25932.55938.80956.1147.20543.97125.416.495
Totaal niet-vlottende activa 1,789.41,912.42,166.42,320.51,982.61,906.21,969.51,393.81,299.81,447.61,541.21,633.4493.8567569.7617.51,076.61,027.41,068.5268.234272.47286.679414.118440.683463.459487.195365.169156.492118.224113.124
Totaal activa 2,644.82,794.73,091.33,048.72,788.62,786.42,799.12,064.51,953.42,226.42,382.92,507.71,116.71,187.71,106.81,282.21,898.51,849.61,929.5540.414530.583551.978719.17761.308822.492885.838692.914393.706298.872284.278
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 183.7239.5308.2180.2245.7274.6178.2135.1147.6159.1177.9152.4127.1114.8101143.8202.6189.2150.149.75851.25350.45946.66557.17864.48751.66942.97928.50623.620.647
Kortlopende schulden 57.281.267.499.15539.543.268.501.60.11.30.20.20.764.56.84.830.133.71319.99526.6547.810.29815.53828.43440.96932.18317.93324.488
Belastingschulden 0000000000000000003.900000000000
Uitgestelde opbrengsten 157.3115.9158.3132.4148.2157.3203.2138.10154.9162.6163.3111.2120.9113.5108.3151158.4154.500000000-0.483-0.505-0.674
Overige kortlopende verplichtingen 143.8152.4174.7145.2139.9127.8113.864.7207.779.8104.5112.467.69283.7147.2137.8143.7118.390.20585.11984.04885.26493.82488.70277.11568.15451.92342.840.143
Totaal kortlopende verplichtingen 542589708.6556.9588.8599.2538.4406.4355.3395.4445.1429.4306.1327.9298.9463.8498.2496.1453173.676156.367161.161139.729161.3168.727157.218152.102112.12983.82884.604
Langlopende verplichtingen:
Langetermijnschulden 9591,011.71,043.11,131.1867843889.2627.7720.5799920.81,070.8668.8727.4725.1644.2768.5800.3911.8255.165282.019314.766410.668397.005454.459490.591324.0787.02943.8942.02
Uitgestelde opbrengsten niet-vlottend 157.6145.2222.3317.1283.2257.2275.59889.1100.561.7119.8106.1-6.694.688.700000000000000
Uitgestelde belastingverplichtingen niet-vlottend 125.6144.1145.2170.6177.5176.2177.1146.7142.3172.2169.116585.681.586.642.8103.499.794.103.408021.86633.83129.39921.08214.33112.1877.1587.225
Overige niet-vlottende verplichtingen 73.694.6107.3130.398.4121.1144.8776578.383.983.512137.318.846.190.169.562.333.72734.5833.9223.05221.49320.29613.7611.36810.2299.8559.34
Totaal niet-vlottende verplichtingen 1,315.81,395.61,517.91,749.11,426.11,397.51,486.6949.41,016.91,1501,235.51,439.1872.5939.6925.1821.8962969.51,068.2288.892320.007348.686455.586452.329504.154525.433349.769109.44560.90358.585
Totaal passiva 1,857.81,984.62,226.52,3062,014.91,996.72,0251,355.81,372.21,545.41,680.61,868.51,178.61,267.51,2241,285.61,460.21,465.61,521.2462.568476.374509.847595.315613.629672.881682.651501.871221.574144.731143.189
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 111111.11.11.11.11.11.11.10.60.60.50.60.60.60.52.2622.2622.2622.2622.2622.2622.2622.2622.2622.2622.262
Ingehouden winsten -556-504.4-462-537.3-574.2-656.8-739.2-871.7-967.2-1,053.1-1,144.7-1,221.8-1,337.2-1,393.9-1,406.3-1,280.2-940.9-940-947.278.17163.40966.671146.681166.152163.719225.112208.394186.663168.219153.33
Overige gereserveerde algehele resultaten -526.3-540.3-535.5-564.2-505.7-461.7-461.1-419.4-429.2-292.6-185.6-156.1-131-86.1-107-117.5-9.2-50.15.8-7.634-14.601-25.731-20.444-15.907-11.284-8.531-6.108-3.035-2.723-1.204
Overige totale aandeelhoudersvermogen 1,868.31,853.81,861.31,843.21,852.61,907.11,973.31,998.71,976.52,025.62,031.52,0161,405.71,399.61,395.61,393.71,387.81,373.51,349.25.0473.139-1.071-4.644-4.828-5.086-15.656-13.505-13.758-13.617-13.299
Totaal eigen vermogen van aandeelhouders 787810.1864.8742.7773.7789.7774.1708.7581.2681702.3639.2-61.9-79.8-117.2-3.4438.3384408.377.84654.20942.131123.855147.679149.611203.187191.043172.132154.141141.089
Totaal eigen vermogen 787810.1864.8742.7773.7789.7774.1708.7581.2681702.3639.2-61.9-79.8-117.2-3.4438.3384408.377.84654.20942.131123.855147.679149.611203.187191.043172.132154.141141.089
Totaal passiva en aandeelhoudersvermogen 2,644.82,794.73,091.33,048.72,788.62,786.42,799.12,064.51,953.42,226.42,382.92,507.71,116.71,187.71,106.81,282.21,898.51,849.61,929.5540.414530.583551.978719.17761.308822.492885.838692.914393.706298.872284.278