AGCO Corporation

NYSE:AGCO

108.19 (USD) • At close August 29, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 612595787.5882.21,111.7429.6326.1367.7429.7426.7363.71,047.2781.3724.4719.9651.4512.2582.4401.1220.6325.614734.328.913.319.615.931.241.727.925.80.21.1
Kortetermijnbeleggingen 000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 612595787.5882.21,111.7429.6326.1367.7429.7426.7363.71,047.2781.3724.4719.9651.4512.2582.4401.1220.6325.614734.328.913.319.615.931.241.727.925.80.21.1
Nettovorderingen 1,267.41,605.31,221.3991.5856800.5880.31,019.4890.4836.8963.8940.6924.6970.5908.5725.2815.6766.4677.1655.7823.2553.6497.4471.9602.9758.21,016.3997.2869.5975.2781.6318.7184
Voorraad 2,731.33,440.73,189.72,593.71,974.42,078.71,908.71,872.91,514.81,423.41,750.72,016.11,703.11,559.61,233.51,156.71,389.91,134.21,064.91,062.51,069.4803.6708.6558.8531.1561.1671.6622.7473.8361314.5173.596.9
Overige vlottende activa 527.3699.8540.8546.7426.3420.3422.3367.7330.8211.4232.5513.2545.7408.3259.1215.2287.5238.7165.9147.4186.3180.3171.9122.99377.286.763.781.560.479.410.410.5
Totaal vlottende activa 5,1386,340.85,739.35,014.14,368.43,729.13,537.43,627.73,165.72,898.33,310.74,517.13,954.73,662.83,1212,748.53,005.22,721.72,3092,086.22,404.51,684.51,412.21,182.51,240.31,416.11,790.51,714.81,466.51,424.51,201.3502.8292.5
Niet-vlottende activa:
Materiële vaste activa, netto 1,987.52,097.11,755.11,618.91,673.61,603.61,373.11,485.31,361.31,347.11,530.41,602.31,406.11,222.6924.8943811.1753643.9561.4593.3434.2343.7316.9316.2310.8417.6403.7292.4146.5119.219.411.5
Goodwill 1,820.41,333.41,310.81,280.81,306.51,298.31,495.51,541.41,376.41,114.51,192.81,178.71,192.41,194.5632.7634587665.6592.1696.7730.6000000000000
Immateriële activa 728.9308.8364.4392.2455.6501.7573.1649607.3507.7553.8565.6607.1666.5171.6166.8176.9205.7207.9211.5238.2417.8394.6413.4286.4312.6370.5339205.6104.2120.97.50
Goodwill en immateriële activa 2,549.31,642.21,675.21,6731,762.11,8002,068.62,190.41,983.71,622.21,746.61,744.31,799.51,861804.3800.8763.9871.3800908.2968.8417.8394.6413.4286.4312.6370.5339205.6104.2120.97.50
Langetermijnbeleggingen 519.6512.7436.9413.5442.7380.2400409414.9392.9424.1416.1390.3346.3398353.9275.1284.6000000000000000
Belastingvorderingen 561481.6228.5169.377.693.8104.9112.299.7100.7215.924.44037.6587029.989.1105.584.1146.1147.500000000000
Overige niet-vlottende activa 435.2346.8268.7293.3179.8153142.4147.1143.1136.5141.1134.6131.2126.9130.8115.769.667.9256.1221.3184.6155.4198.5260.5261.3233.7171.8163.4152487.7381.948.616.7
Totaal niet-vlottende activa 6,052.65,080.44,364.44,1684,135.84,030.64,0894,3444,002.73,599.44,058.13,921.73,767.13,594.42,315.92,250.41,949.62,065.91,805.51,7751,892.81,154.9936.8990.8863.9857.1959.9906.1650738.462275.528.2
Totaal activa 11,190.611,421.210,103.79,182.18,504.27,759.77,626.47,971.77,168.46,497.77,368.88,438.87,721.87,257.25,436.94,998.94,954.84,787.64,114.53,861.24,297.32,839.42,3492,173.32,104.22,273.22,750.42,620.92,116.52,162.91,823.3578.3320.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8131,207.31,385.31,078.3855.1914.8865.9917.5722.6625.6670.2960.3888.3937682.6621.61,027.1827.1706.9590.9601.9393.2312272.2244.4244.2287350.1361.5330.5287.162.616.9
Kortlopende schulden 415.21519692.9359.7153.4210.695.485.4306.294.3311.7251.260.1275193.10.1402.7207.66.36.900000000361.4188.332.30
Belastingschulden 239.5401.2344.8282.5249.6170.3137.8135.4113.587.3108.4167.3169.300000000000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000
Overige kortlopende verplichtingen 2,358.32,720.12,161.92,000.91,898.41,6461,552.41,502.31,223.41,166.31,3441,372.71,1561,208.4955.3854.2951.3853.5709.1663.2750.2535.9473370.6392407.9473.6480.4354.5247.1228.16550.1
Totaal kortlopende verplichtingen 3,8264,343.64,0883,454.63,362.82,884.52,766.72,650.62,144.92,185.42,216.92,8122,464.82,205.51,912.91,668.91,978.52,083.31,623.61,260.41,359929.1785642.8636.4652.1760.6830.5716939703.5159.967
Langlopende verplichtingen:
Langetermijnschulden 2,360.81,511.61,390.21,526.71,382.61,340.41,275.31,618.11,610925.2997.6938.51,035.61,409.7443454625294.1577.4841.81,151.7711.1636.9617.7570.2691.7924.2727.4567.1568.9593.6173.9121
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 125122.6112116.9112.4107116.3130.5112.486.4211.7251.2242.7192.3103.9118.7108.1163.6000000000000000
Overige niet-vlottende verplichtingen 835.9786.6630.9640.1628.4520.8474.6477.2463.9417.4445.7392.3497.2418.5317.9362.9223.2203.6419.9343364.2293.1209.5113.4107.7100.383.571.458.766.149.532.339
Totaal niet-vlottende verplichtingen 3,321.72,420.82,133.12,283.72,123.41,968.21,866.22,225.82,186.31,4291,6551,5821,775.52,020.5864.8935.6956.3661.3997.31,184.81,515.91,004.2846.4731.1677.97921,007.7798.8625.8635643.1206.2160
Totaal passiva 7,147.76,764.46,221.15,738.35,486.24,852.74,632.94,876.44,331.23,614.43,871.94,3944,240.34,2262,777.72,604.52,934.82,744.62,620.92,445.22,874.91,933.31,631.41,373.91,314.31,444.11,768.31,629.31,341.81,5741,346.6366.1227
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000
Gewone aandelen 0.70.70.70.70.80.80.80.80.80.80.91110.90.90.90.90.90.90.90.80.80.70.60.60.60.60.60000
Ingehouden winsten 5,6456,3605,654.65,182.24,759.14,443.54,477.34,253.84,113.63,9963,771.63,4022,843.72,321.61,738.31,517.81,382.11,020.4774.1825.4793.8635560.6645622.9621.9635.8577.6411.4287.7161.551.821.8
Overige gereserveerde algehele resultaten -1,902.9-1,708.1-1,803.1-1,770.9-1,810.8-1,595.2-1,555.4-1,361.6-1,441.6-1,460.2-906.5-510.7-479.4-400.6-132.1-187.4-436.179-190.3-305-265.5-320-431.4-377.8-260.7-221.1-81.6-101.62.5-43.9-20.8-5.2-2.2
Overige totale aandeelhoudersvermogen 04.130.23.930.94.710.2136.6103.3301.7582.51,117.91,082.91,073.21,051.31,061.91,067.4942.7908.9894.7893.2590.3587.6531.5427.1427.7427.3515360.2345.1336165.674.1
Totaal eigen vermogen van aandeelhouders 3,742.84,656.73,882.43,415.92,9802,853.82,932.93,029.62,776.12,838.33,448.54,010.23,457.42,995.22,658.42,393.22,014.32,0431,493.61,4161,422.4906.1717.6799.4789.9829.1982.1991.6774.7588.9476.7212.293.7
Totaal eigen vermogen 4,042.94,656.83,882.63,443.83,0182,9072,993.53,095.32,837.22,883.33,496.94,044.83,490.73,031.22,659.22,400.82,0202,0431,493.61,4161,422.4906.1717.6799.4789.9829.1982.1991.6774.7588.9476.7212.293.7
Totaal passiva en aandeelhoudersvermogen 11,190.611,421.210,103.79,182.18,504.27,759.77,626.47,971.77,168.46,497.77,368.88,438.87,721.87,257.25,436.94,998.94,954.84,787.64,114.53,861.24,297.32,839.42,3492,173.32,104.22,273.22,750.42,620.92,116.52,162.91,823.3578.3320.7