Arthur J. Gallagher & Co.

NYSE:AJG

328.76 (USD) • At close June 6, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 14,987.3971.5342.3402.6664.6604.8607.2681.2545.5480.4314.4298.1302.1291.2249.8205.9194.4255.9208317.8224.6193.6152.53697.33499.90461.161.567.25753.539.746.8112.400084.479.269.233.1
Kortetermijnbeleggingen 0057.30000000000000.10.27.549.243.22631.914.61900000000000000000
Liquide middelen en kortetermijnbeleggingen 14,987.3971.5342.3402.6664.6604.8607.2681.2545.5480.4314.4298.1302.1291.2249.8206194.6263.4257.2361250.6225.5167.15597.33499.90461.161.567.25753.539.746.8112.400084.479.269.233.1
Nettovorderingen 3,895.93,786.62,911.112,3936,893.15,891.75,365.94,484.12,400.12,243.41,954.91,414.41,096.10750.1693.7826.51,303.71,422.31,396.81,355.51,286.41,183.737555.276405.164364.9288.3217.6237.6193.7179.8152.5139.100090.685.88762.1
Voorraad 004,621.94,063.72,909.72,019.11,629.61,623.81,392.11,412.11,367.61,027.4851.6692.5599.7522.6551601.4588.9518.3488.9437.6256.323209.5090000000000000000
Overige vlottende activa 25,230.127,35818,579.24,874.83,566.52,6212,145.62,104.11,952.91,930.32,007.11,163.11,031.31,908.2126.4-404.9-421.1-494.1107.8125.7132.8158.4166.395162.147272.654216.8181.2184169.3134.5131.6164.422.400017.16.772.9
Totaal vlottende activa 44,113.332,116.122,834.617,670.411,124.29,117.58,118.75,170.64,416.14,335.83,811.22,875.62,429.52,199.41,7261,5401,7022,275.82,376.22,401.82,227.82,107.91,773.611,024.266777.722642.8531468.8463.9381.7351.1363.7273.9000192.1171.7163.298.1
Niet-vlottende activa:
Materiële vaste activa, netto 1,028.11,126.7922.9859.4824.6860.9436.9412.2377.6202.7195.4160.4105.491.375.880.788.887.9103.1185.1259266.2250.99551.24640.03636.231.527.82622.62018.216.60008.46.865
Goodwill 12,270.211,475.69,489.48,666.26,1275,618.54,625.64,197.93,767.83,662.93,449.62,145.21,472.71,155.3883.7742.3596.4440.6316.6000000000000000000000
Immateriële activa 4,530.14,633.33,372.13,9542,399.92,318.71,7731,644.61,627.31,698.81,7761,078.8809.6561.5483.5438.4461.2315.6213.1418.2374.2222.9135.06265.34115.93110.912.510.411.17.67.97.787.86.46.66.873.43.6
Goodwill en immateriële activa 16,800.316,108.912,861.512,620.28,526.97,937.26,398.65,842.55,395.15,361.75,225.63,2242,282.31,716.81,367.21,180.7596.4756.2529.7418.2374.2222.9135.06265.34115.93110.912.510.411.17.67.97.787.86.46.66.873.43.6
Langetermijnbeleggingen 0071.13.422.445.459.50000000045.617.900000000000000000000000
Belastingvorderingen 959.11,132.31,2991,228.51,085.8945.6806.2905.1796.5521.4392.6279.8251.8240.2245.2271.1300.9292.6286.8236.1184.8137.8102.36199.2630000000000000000
Overige niet-vlottende activa 1,354.41,131.8918.7963.1747.5728.2514.1567504.3492.2385.2320.7283.3235.8181.8132.2565.3144.3124.3148.3192.1166.8201.546231.707228.609194.2171134.889.483.772.173.9102.6368.5313.3287.369.368.456.840.7
Totaal niet-vlottende activa 20,141.919,499.716,073.215,674.611,207.210,517.38,215.37,726.87,073.56,5786,198.83,984.92,922.82,284.11,8701,710.31,569.31,2811,043.9987.71,010.1793.7689.964447.557284.576241.3215173126.5113.910099.8127.2376.3319.7293.984.582.266.249.3
Totaal activa 64,255.251,615.838,907.833,34522,331.419,634.816,33412,897.411,489.610,913.810,0106,860.55,352.34,483.53,5963,250.33,271.33,556.83,420.13,389.53,237.92,901.62,463.5741,471.8231,062.298884.1746641.8590.4495.6451.1463.5401.1376.3319.7293.9276.6253.9229.4147.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0018,698.213,845.67,784.66,348.55,740.24,9862,996.12,877.12,623.32,154.71,819.71,621.91,250.301,365.31,8741,958.81,917.41,838.91,743.5108111.618109.21496.75992.290.769.75744.936.4320000000
Kortlopende schulden 425.2959551.9473.4278.6790.6519441.1703.6382267.9630.5129100013208.95.341.430.947.78200000000000000000
Belastingschulden 000000000000000000153.1237.3193.3185.5000000000000000000
Uitgestelde opbrengsten 537.2644.7546.7520.9475.6434.1379.374.86961.366.184.570.669.760.541.546.244.139.735.7253.4219.358.06600000000000000000
Overige kortlopende verplichtingen 28,298.429,4612,091.21,895.11,596.21,347.81,055.1-514.8912932.6751.5499.6414.2372266.51,432.9315.1314.1240.8190.6113.1101.41,593.822954.937619.537528.941438.5375.3375306.9296.8269.2242.7000180167.1153.490.4
Totaal kortlopende verplichtingen 29,260.831,064.721,88816,73510,1358,9217,693.64,912.34,611.74,191.73,642.73,284.82,362.92,073.61,577.31,474.41,858.62,232.22,401.32,386.32,212.12,061.31,749.6041,066.555728.751625.7530.7466444.7363.9341.7305.6274.7000180167.1153.490.4
Langlopende verplichtingen:
Langetermijnschulden 13,0607,358.25,863.26,428.84,907.84,497.93,091.42,691.92,144.602,12582572567555055040040025.9107.6140122.1128.34900000003.424.52020202020202020
Uitgestelde opbrengsten niet-vlottend 061.562.658.765.769.778.4430.6690000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00300.4309.3320.9340.90-430.6-690000000000000000000013.89.31215.20009.2000
Overige niet-vlottende verplichtingen 1,754.82,316.11,903.81,562.4990.2930.7900.91,128.31,077.53,033.91,012.9665.2605.8491.3362333274.2209.1128.8126.5124.899.157.46633.65519.17515.912.811.911.2-0.2000270.5217.8199.7-0.13.61.71.4
Totaal niet-vlottende verplichtingen 14,814.89,735.87,829.68,049.95,963.75,498.34,070.73,820.23,222.13,033.93,137.91,490.21,330.81,166.3912883674.2609.1154.7234.1264.8221.2185.81533.65519.17515.912.811.911.213.612.736.535.2290.5237.8219.729.123.621.721.4
Totaal passiva 44,075.640,800.529,717.624,784.916,098.714,419.311,764.38,732.57,833.87,225.66,780.64,7753,693.73,239.92,489.32,357.42,532.82,841.32,5562,620.42,476.92,282.51,935.4191,100.21747.926641.6543.5477.9455.9377.5354.4342.1309.9290.5237.8219.7209.1190.7175.1111.8
Eigen vermogen:
Preferente aandelen 003,562.22,882.32,371.71,901.31,558.61,221.8916.40000000000000000000000000000000
Gewone aandelen 250216.7211.9208.5193.7188.1184181178.3176.9164.6133.6125.6114.7108.4102.596.49298.495.792.19088.54885.11179.49736.800000000000000
Ingehouden winsten 4,985.74,052.93,562.22,882.32,371.71,901.31,558.61,095.9916.4774.5676596.4510.4482.9488.3450.3452495.9475463.7539442.3360.958283.796237.373208.3172.4141.3115.2102.784.899.376.173.472.364.961.254.141.826.1
Overige gereserveerde algehele resultaten -1,151.1-792.1-1,140.4-726.1-643.6-759.6-785.6-559.9-763.6-522.5-260.6-2.6-32.8-47.22.2-9-40.37.45-26.4-16.5-18.7-14.067-6.062-2.498-2.7-66.8-58.9-53.3-44.3-38.9-30.5-24000-13.3-10.4-8.8-6.3
Overige totale aandeelhoudersvermogen 16,0957,297.86,509.96,143.74,264.43,825.73,541.93,257.83,265.53,209.42,649.41,358.11,055.4693.2507.8349.1230.4120.2285.7216.3146.4105.592.1558.768-5.043-40.245-5.781.572.659.750.852.639.112.49.69.319.619.521.315.8
Totaal eigen vermogen van aandeelhouders 20,179.610,775.39,143.68,508.46,186.25,155.54,498.94,105.23,596.63,638.33,229.42,085.51,658.61,243.61,106.7892.9738.5715.5864.1769.1761619.1528.155371.613314.372242.5202.5163.9134.5118.196.7121.491.285.881.974.267.563.254.335.6
Totaal eigen vermogen 20,205.710,815.39,190.28,560.16,232.75,215.54,569.74,164.93,655.83,688.23,305.12,085.51,658.61,243.61,106.7892.9738.5715.5864.1769.1761619.1528.155371.613314.372242.5202.5163.9134.5118.196.7121.491.285.881.974.267.563.254.335.6
Totaal passiva en aandeelhoudersvermogen 64,255.251,615.838,907.833,34522,331.419,634.816,33412,897.411,489.610,913.810,0106,860.55,352.34,483.53,5963,250.33,271.33,556.83,420.13,389.53,237.92,901.62,463.5741,471.8231,062.298884.1746641.8590.4495.6451.1463.5401.1376.3319.7293.9276.6253.9229.4147.4