Albemarle Corporation

NYSE:ALB

89.2 (USD) • At close December 23, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 889.91,499.142439.272746.724613.11555.321,137.3032,269.756213.7342,489.768477.239477.696469.416529.65308.791253.303130.551149.49958.5746.3935.17337.63630.58519.348.62121.1834.32214.24233.132.132.5
Kortetermijnbeleggingen 0000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 889.91,499.142439.272746.724613.11555.321,137.3032,269.756213.7342,489.768477.239477.696469.416529.65308.791253.303130.551149.49958.5746.3935.17337.63630.58519.348.62121.1834.32214.24233.132.132.5
Nettovorderingen 1,835.211,190.97556.922530.838612.651697.887619.393543.105495.55457.472518.268449.025399.874384.934336.898347.529425.362400.053387.463341.551226.026197.089175.16174.297155.14145.207154.421141.293198.1182140.4
Voorraad 2,161.2872,076.031812.92750.237768.984700.54592.781450.263508.728358.361436.049428.145431.495389.21347.506538.857472.826378.302411.023338.757204.703160.805159.661107.418110.816127.20690.28384.499177.6156.6136.4
Overige vlottende activa 330.522420.774198.867178.385230.36444.674128.08643.494682.20543.24951.35952.44754.83544.40438.89239.23424.6993316.60720.71215.467178.33918.25514.13918.02217.93717.7119.1072019.418.2
Totaal vlottende activa 5,216.9195,186.9172,007.9812,206.1842,225.1091,998.4212,477.5633,306.6181,831.0033,348.851,482.9151,407.3131,355.621,348.1981,032.0871,159.1521,053.438960.854873.663747.41481.369413.064383.661315.154332.599311.53296.736259.141428.8390.1327.5
Niet-vlottende activa:
Materiële vaste activa, netto 9,632.6096,962.9975,909.6165,354.6254,909.4733,021.0842,493.312,360.142,484.7381,231.8681,357.0691,296.5711,129.481,006.3131,026.8831,012.3481,038.543980.575966.817895.984527.005519.071529.672490.074495.385514.668496.64495.724685.9665.1674.9
Goodwill 1,629.7291,617.6271,597.6271,665.521,578.7851,567.1691,610.3551,540.0322,893.811243.262284.203276.966273.145272.238292.721278.767270.185251.10036.8320000000000
Immateriële activa 261.858287.87308.947349.105354.622386.143421.503354.5641,733.04744.12588.20394.464130.281713.57712.587167.011171.354151.951394.47404.128118.58435.17131.74822.45517.89721.29117.60123.0922930.934.1
Goodwill en immateriële activa 1,891.5871,905.4971,906.5742,014.6251,933.4071,953.3122,031.8581,894.5964,626.858287.387372.406371.43403.426713.57712.587445.778441.539403.051394.47404.128118.58435.17131.74822.45517.89721.29117.60123.0922930.934.1
Langetermijnbeleggingen 1,381.5591,150.553897.708656.244579.813528.722534.064457.533455.417194.042212.178207.141198.427180.69146.084121.951128.17111.63300-15.467-17.534000000000
Belastingvorderingen 22.43346.43418.79720.31715.27517.02925.10861.13276.02562.4465.66764.512-601.853109.5781.44174.83826.938330015.46717.534000000000
Overige niet-vlottende activa 125.545204.124233.442198.951197.78663.106188.86981.188140.97398.51694.56290.324718.724-290.26-227.52529.728141.82241.255312.293395.223260.333225.65184.394154.12108.21390.30877.20468.30460.853.148.5
Totaal niet-vlottende activa 13,053.73310,269.6058,966.1378,244.7627,635.7545,583.2535,273.2094,854.5897,784.0111,874.2532,101.8822,029.9781,848.2041,719.8831,739.471,684.6431,777.0121,569.5141,673.581,695.335905.922779.892745.814666.649621.495626.267591.445587.12775.7749.1757.5
Totaal activa 18,270.65215,456.52210,974.11810,450.9469,860.8637,581.6747,750.7728,161.2079,615.0145,223.1033,584.7973,437.2913,203.8243,068.0812,771.5572,843.7952,830.452,530.3682,547.2432,442.7451,387.2911,192.9561,129.475981.803954.094937.797888.181846.2611,204.51,139.21,085
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,088.0452,052.001647.986483.221574.138522.516418.537281.874239.572231.705194.064172.866184.472175.183170.287224.333198.817202.488222.142202.41111.43175.09263.55972.29661.445.150.767102.899.176.9
Kortlopende schulden 662.10537.643421.523826.974210.473307.294422.012247.544674.994711.09624.55412.714.4168.98336.3126.20216.62750.73157.56445.0470.190.343157.8620.2990.7790.4080.3797.4571718.614
Belastingschulden 255.155134.87627.66732.25132.46160.87154.937254.41669.43219.55431.87929.45131.6323.782.3937.64523.93161.7750022.34619.095000000000
Uitgestelde opbrengsten 00000-522.516-418.537-281.874-306.51710.3717.89613.95518.819-175.183-170.287-224.333155.365159.822118.56488.04870.6165.05159.97856.93250.50553.347.57855.783000
Overige kortlopende verplichtingen 555.157516.495777.159459.403591.924292.492305.439356.269632.687167.161167.97156.037151.841141.317149.431173.689163.542167.955142.211126.28976.10470.47782.41669.52169.17462.42861.48173.49174.463.455
Totaal kortlopende verplichtingen 3,560.4622,741.0151,874.3351,801.8491,408.9961,183.1731,200.9251,140.1031,616.6851,139.886436.363385.009401.178364.177358.421431.869402.917482.949421.917373.746210.071165.007303.837142.116131.353107.936112.56147.948194.2181.1145.9
Langlopende verplichtingen:
Langetermijnschulden 3,654.6833,314.2412,131.3162,884.1462,977.6071,402.4111,415.362,121.7183,142.1632,223.0351,054.31686.588749.257851.927776.403906.062707.311681.859775.889899.584228.389190.28512.35397.681158.981192.5391.41424.406200.1237.881.4
Uitgestelde opbrengsten niet-vlottend 78.0270272.88388.893342.97200.614002.012.4443.3620000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 558.43480.77353.279394.852397.858382.982370.389412.739736.31756.884129.18863.36877.903109.5781.44152.414107.089100.868193.95248.751143.665128.84999.71499.60392.01111097.167104.543133.1123.9117.2
Overige niet-vlottende verplichtingen 753.951729.649809.581901.505982.822854946.402544.0431,437.793312.653219.716366.956296.659266.661301.974387.679280.467236.594225.212209.289168.945145.396120.26983.49681.18575.66469.70464.16654.551.440.3
Totaal niet-vlottende verplichtingen 5,045.0914,524.663,294.1764,180.5034,358.2872,639.3932,732.1513,078.54,597.0162,594.5821,405.6581,120.2741,123.8191,228.1581,159.8181,346.1551,094.8671,019.3211,195.0511,357.624540.999458.209232.336280.78332.177378.194258.285193.115387.7413.1238.9
Totaal passiva 8,605.5537,265.6755,168.5115,982.3525,767.2833,822.5663,933.0764,218.6036,213.7013,734.4681,842.0211,505.2831,524.9971,592.3351,518.2391,778.0241,497.7841,502.271,616.9681,731.37751.07623.216536.173422.896463.53486.13370.845341.063581.9594.2384.8
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 1.1741.1721.171.0691.0611.0561.1051.1251.1220.780.8010.8890.8880.9160.9150.910.9470.9490.4670.4190.4120.4170.4550.4580.4620.470.5390.55000
Ingehouden winsten 6,987.0155,601.2773,096.5393,155.2522,943.4782,566.052,035.1632,121.9311,615.4071,410.6511,500.3581,744.6841,798.1171,560.5191,287.9831,165.5031,023.022838.162727.874641.914611.43571.551560.275515.914435.211365.113299.401237.08195.531.10
Overige gereserveerde algehele resultaten -528.526-560.662-392.45-326.132-395.735-350.682-225.668-412.412-421.288-62.413116.24585.264-222.922-164.196-91.86-100.64299.885-10.05812.04746.20323.643-4.514-18.453-14.688-9.0137.36-1.44516.677000
Overige totale aandeelhoudersvermogen 2,952.5172,940.842,920.0071,438.0381,383.4461,368.8971,863.9492,084.4182,059.15110.4479.9572.761-268.05718.8358.6580154.451199.045189.88722.8390.736-2.31151.02557.22363.86478.667218.806250.873527.1513.9700.2
Totaal eigen vermogen van aandeelhouders 9,412.187,982.6275,625.2664,268.2273,932.253,585.3213,674.5493,795.0623,254.3921,359.4651,627.3611,833.5981,591.2771,416.0741,205.6961,065.7711,278.3051,028.098930.275711.375636.221569.74593.302558.907490.564451.667517.336505.198622.6545700.2
Totaal eigen vermogen 9,665.0998,190.8475,805.6074,468.5944,093.583,759.1083,817.6963,942.6043,401.3131,488.6351,742.7761,932.0081,678.8271,475.7461,253.3181,065.7711,332.6661,028.098930.275711.375636.221569.74593.302558.907490.564451.667517.336505.198622.6545700.2
Totaal passiva en aandeelhoudersvermogen 18,270.65215,456.52210,974.11810,450.9469,860.8637,581.6747,750.7728,161.2079,615.0145,223.1033,584.7973,437.2913,203.8243,068.0812,771.5572,843.7952,830.452,530.3682,547.2432,442.7451,387.2911,192.9561,129.475981.803954.094937.797888.181846.2611,204.51,139.21,085