Accenture plc

NYSE:ACN

355.53 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,004.4699,045.0327,889.8338,168.1748,415.336,126.8535,061.364,126.864,905.6094,360.7664,921.3055,631.8856,640.5265,701.0784,838.2924,541.6623,602.763,314.3963,066.9882,483.992,552.9582,332.1611,316.9761,880.083
Kortetermijnbeleggingen 5.3964.5753.9734.29494.3093.3133.1923.0112.8752.4482.6022.5252.2614.9292.9877.90420.282231.278352.951463.46285.288000
Liquide middelen en kortetermijnbeleggingen 5,009.8659,049.6077,893.8068,172.4688,509.6396,130.1665,064.5524,129.8714,908.4844,363.2144,923.9075,634.416,642.7875,706.0074,841.2794,549.5663,623.0423,545.6743,419.9392,947.452,838.2462,332.1611,316.9761,880.083
Nettovorderingen 13,664.84712,227.18611,776.7759,728.2127,846.8928,095.0717,496.3686,885.2576,222.3995,725.4245,663.3344,846.5744,480.7114,621.7923,662.4252,251.3414,515.3953,699.3343,266.6613,106.6132,677.0812,245.4072,144.3442,300.114
Voorraad 0000000000000000425.859318.172187.72121.386105.636230.32269.421166.372
Overige vlottende activa 2,183.0692,105.1381,940.291,765.8311,393.2251,225.3641,024.6391,082.161792.2041,490.7561,317.2011,363.1941,464.4331,143.3841,059.9212,189.607594.832407.998479.501509.818475.426229.323330.347233.068
Totaal vlottende activa 20,857.78123,381.93121,610.87119,666.51117,749.75615,450.60113,585.55912,097.28911,923.08711,579.39411,904.44211,844.17812,587.93111,471.1839,563.6258,990.5149,159.1287,971.1787,353.8216,685.2676,096.3895,037.2114,061.0884,579.637
Niet-vlottende activa:
Materiële vaste activa, netto 4,278.5154,167.4864,677.6754,821.6244,728.9141,391.1661,264.021,140.598956.542801.884793.444779.675779.494785.231659.569701.144800.164808.069727.692693.71643.946650.455716.504822.318
Goodwill 21,120.17915,573.00313,133.29311,125.8617,709.826,205.555,383.0125,002.3523,609.4372,929.8332,395.8941,818.5861,215.3831,131.991841.234825.152839.957643.728527.6480214.482000
Immateriële activa 2,904.0312,072.9571,930.8081,710.9381,029.218840.779687.11710.382510.151464.907397.8800000000378.4880188.659167.6030
Goodwill en immateriële activa 24,024.2115,573.00313,133.29311,125.8617,709.826,205.555,383.0125,002.3523,609.4373,394.742,793.7741,818.5861,215.3831,131.991841.234825.152839.957643.728527.648378.488214.482188.659167.6030
Langetermijnbeleggingen 334.664197.443317.972329.526324.514240.313215.532211.61198.63345.02766.78343.63128.1840.36541.02329.0110000340.121000
Belastingvorderingen 4,147.4964,154.8784,001.24,007.134,153.1464,349.4642,086.8072,214.9012,077.3121,274.0191,152.1051,018.567808.765756.079532.191745.228613.943389.858392.211291.033309.045326.286283.969213.617
Overige niet-vlottende activa 2,289.6973,770.5643,522.3793,225.1912,412.4432,152.7861,914.1532,023.141,864.191,170.9941,219.9041,362.4121,245.6621,546.6611,197.611964.685985.333934.329416.708908.854383.696256.629249.784445.784
Totaal niet-vlottende activa 35,074.58227,863.37425,652.51923,509.33219,328.83714,339.27910,863.52410,592.6018,706.1146,686.6646,026.015,022.8714,077.4844,260.3273,271.6283,265.223,239.3972,775.9842,064.2592,272.0851,891.291,422.0291,417.861,481.719
Totaal activa 55,932.36351,245.30547,263.3943,175.84337,078.59329,789.8824,449.08322,689.8920,629.20118,266.05817,930.45216,867.04916,665.41515,731.5112,835.25312,255.73412,398.52510,747.1629,418.088,957.3527,987.6796,459.245,478.9486,061.356
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,743.8072,491.1732,559.4852,274.0571,349.8741,646.6411,348.8021,525.0651,280.8211,151.4641,064.228961.851903.847949.25885.328717.3791,017.227985.071856.087807.317523.931573.201450.208371.794
Kortlopende schulden 946.229795.227716.773756.244763.8776.4115.3372.9072.7731.8480.33575.2480.0114.4190.1430.5946.5723.79524.79231.07231.71546.16263.099190.669
Belastingschulden 719.084720.778646.4711,032.9531,115.951378.017497.8851,091.876721.322836.177715.704575.248571.149586.543511.028492.5590000795.948000
Uitgestelde opbrengsten 5,174.9234,907.1524,478.0484,229.1773,636.7413,188.8352,837.6822,669.522,364.7282,251.6172,348.0342,230.6152,275.0522,219.271,772.8331,725.1791,810.6611,785.2861,511.2591,284.303980.461676.841543.917810.043
Overige kortlopende verplichtingen 10,111.1689,815.4869,769.198,449.3896,912.0986,220.0095,959.935,626.7875,250.7995,127.274,745.4874,393.2764,930.2954,733.653,909.33,708.2294,013.424,168.4643,424.3442,739.6972,876.8772,054.8922,269.8382,806.314
Totaal kortlopende verplichtingen 18,976.12718,009.03817,523.49615,708.86712,662.5911,061.89610,151.7519,824.2798,899.1218,532.1998,158.0798,160.998,109.2057,906.5896,567.6046,151.3816,847.8786,962.6165,816.4824,862.3894,412.9843,351.0963,327.0624,178.82
Langlopende verplichtingen:
Langetermijnschulden 78.6282,353.8072,608.9832,750.392,721.63616.24719.67622.16324.45725.58726.40325.60.022-625.6971.4450.3611.7082.56527.06544.1162.161589.9283.4281.09
Uitgestelde opbrengsten niet-vlottend 641.091653.954712.715700.08690.931565.224618.124663.248754.812524.455544.831517.397553.764553.44497.102536.0650000532.307000
Uitgestelde belastingverplichtingen niet-vlottend 428.845395.28318.584243.636179.703133.232125.729137.098111.02113.59198.734174.818105.54472.25767.9761,174.5332.25831.75816.885.62118.7693.57216.67450.969
Overige niet-vlottende verplichtingen 6,639.4243,374.6333,352.5243,675.7563,324.563,185.592,809.2152,332.9022,650.4152,422.6562,717.0682,560.4153,272.4523,474.0492,426.403919.6132,324.006946.705795.521,367.353608.689836.851,173.7621,140.363
Totaal niet-vlottende verplichtingen 7,787.9886,777.6746,992.8067,369.8626,916.833,900.2933,572.7443,155.4113,540.7043,086.2883,487.0363,278.233,931.7823,474.0492,992.9262,630.5692,357.972981.028839.4651,417.091,161.9261,430.351,193.8641,192.422
Totaal passiva 26,764.11524,786.71224,516.30223,078.72919,579.4214,962.18913,724.49512,979.6912,439.82511,618.48711,645.11511,439.2212,040.98711,380.6389,560.538,781.959,205.857,943.6446,655.9476,279.4795,574.914,781.4464,520.9265,371.242
Eigen vermogen:
Preferente aandelen 25,673.96600000000000000000000000
Gewone aandelen 0.0720.0720.0720.0720.0720.0720.0720.0710.0720.0760.0760.0750.0740.0740.0740.0170.0180.0180.020.02475.2620.0210.0230.021
Ingehouden winsten 23,082.42319,316.22418,203.84213,988.74812,375.53310,421.5387,952.4137,081.8557,879.9613,470.00811,758.13110,069.8447,904.2426,281.5174,634.3293,998.5013,120.5152,362.7031,607.391962.33946.636-641.915-1,190.415-1,435.31
Overige gereserveerde algehele resultaten -1,554.742-1,743.101-2,190.342-1,419.497-1,561.837-1,840.577-1,576.171-1,094.784-1,661.72-1,411.972-871.948-1,052.746-678.148-134.38-386.292-227.178825.705733.636455.795133.224-113.76306.791767.786884.746
Overige totale aandeelhoudersvermogen -18,913.0738,119.6446,092.9686,958.9496,188.1345,827.7063,988.4392,962.3351,336.95-5,924.387-5,154.224-4,056.987-3,080.335-2,268.26-1,412.365-884.747-1,405.732-1,033.025-168.951601.3311,063.6681,129.311861.232832.731
Totaal eigen vermogen van aandeelhouders 28,288.64625,692.83922,106.5419,528.27217,001.90214,408.73910,364.7538,949.4777,555.2626,133.7255,732.0354,960.1864,145.8333,878.9512,835.7462,886.5932,540.5062,063.3321,894.2551,696.9141,471.806794.208438.626282.188
Totaal eigen vermogen 29,168.24826,458.59322,747.08820,097.11417,499.17314,827.69110,724.5889,710.28,189.3766,647.5716,285.3375,427.8294,624.4284,350.8723,274.7233,473.7843,192.6752,803.5182,762.1332,677.8732,412.7691,677.794958.022690.114
Totaal passiva en aandeelhoudersvermogen 55,932.36351,245.30547,263.3943,175.84337,078.59329,789.8824,449.08322,689.8920,629.20118,266.05817,930.45216,867.04916,665.41515,731.5112,835.25312,255.73412,398.52510,747.1629,418.088,957.3527,987.6796,459.245,478.9486,061.356