Albemarle Corporation

NYSE:ALB

89.2 (USD) • At close December 23, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,573.4762,815.131199.942446.615604.357739.13999.468680.769360.064160.906439.834330.127464.363337.359189.623194.202229.69142.969114.86754.83971.94574.74568.167101.77688.82984.73279.982156.05978.251.321.8
Afschrijvingen & Amortisatie 429.944300.841254231.984213.484200.698196.928226.169260.076103.572107.3799.0296.75395.578100.513111.685106.855112.95117.43597.26884.01480.60377.6173.7575.7575.01269.04471.04494.193.388.5
Uitgestelde Inkomstenbelasting 100.87793.339-38.5-1.97614.39449.164-41.94121.121-136.298-64.94764.865-14.58714.68292.7191.72-12.048-9.128-60.85610.185-8.134.16510.8883.51713.405-2.8877.738.07-21.404-2.4-5.22.7
Aandelen Gebaseerde Vergoedingen 36.54530.47420.1222.83719.6815.22819.40417.03115.18814.26710.16415.21127.06915.6940.30718.467000000000000000
Verandering in Werkkapitaal -1,612.617-1,414.702111.722-86.532-114.339-151.965-392.263239.195-41.53457.16-31.003-47.71-49.614-85.788104.131-8.419-78.96357.425-70.78120.618-1.9465.42211.329-5.43825.239-23.638-56.759-11.659-28.1-29.4-18.6
Vorderingen -350.655-786.121-49.295100.118-18.22-97.448-74.545-42.816-8.78836.221-65.906-25.992-16.435-57.4141.26990.481000000000000000
Voorraden -962.924-1,609.642-127.40151.978-46.304-124.067-101.54525.97427.649-6.486-1.817.364-41.749-58.582180.132-87.929-70.63638.626-73.022-18.077-16.3096.2682.0943.42312.548-31.557-11.378-3.234-27.8-13.5-14.6
Crediteuren -283.4111,287.072143.939-31.519-12.23473.7353.42143.95323.74528.29621.316-16.798-11.97113.463-53.54333.452000000000000000
Overig Werkkapitaal -15.627-306.011144.479-207.109-37.581-4.18-269.594212.084-84.14-0.87115.397-12.28420.54116.745-23.727-44.423-8.32718.7992.24138.69514.363-0.8469.235-8.86112.6917.919-45.381-8.425-0.3-15.9-4
Overige Niet-Contante Posten 797.09682.766-203.027185.986-18.202-306.099422.383-450.882-96.807221.651-158.371106.705-95.664-124.253-37.76911.86-2.54915.838-2.384.4128.9442.408-16.658-28.426-8.286-6.622-1.529-7.414-5.3-1-0.1
Kasstroom uit Operationele Activiteiten 1,325.3211,907.849344.257798.914719.374546.165303.979733.403360.689492.609432.859488.766457.589331.309358.525315.747242.542376.294168.862191.555150.098144.771143.965155.067164.297137.21498.80828.469116.2110.7101.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,149.281-1,261.646-953.667-850.477-851.796-699.991-317.703-196.654-227.649-110.576-155.346-280.873-197.746-75.478-100.786-99.736-98.74-99.847-70.08-57.652-41.058-38.382-49.903-52.248-77.569-76.747-85.284-90.439-112.4-70.4-88.1
Netto Overnames -426.228-162.945289.791-13.999-822.569396.566-39.8253,116.837-1,991.451104.718-2.5656.286-13.164-16.027-20.457-63.96-29.581-25.97-7.473-785.24700-113.245-35.0060-15.22900000
Aankoop van Beleggingen 0-0.706-6.488-2.427851.796-0.27-0.275196.654227.649-33.425155.346-1.615-10.868-1.338-0.387-3.452-5.023-4.312-0.521-12.881-11.9860-12.37-10.733-145.871000000
Verkoop/verval van Beleggingen 01.9423.7740.9030.384699.991317.7030.3050.9980.6490.169280.8731.670.652100.78660.41403.13500000157.516000000
Overige Investeringsactiviteiten -205.6510.706287.0772.427-841.44-699.991-317.703-196.654-170.099-7.499-155.346-305.83211.4940-100.786-2.5560-14.991-3.088-12.848-113.348-2.627-0.2170.80.0562.213-5.006489.66358.616.4-107.8
Kasstroom uit Investeringsactiviteiten -2,781.16-1,422.649-666.59-863.573-1,663.625-303.695-357.8032,920.488-2,160.552-46.133-157.742-301.161-208.614-92.191-121.63-163.704-132.93-145.12-78.027-868.628-166.392-41.009-175.735-97.187-65.868-89.763-90.29399.224-53.8-54-195.9
Financieringsactiviteiten:
Schuldaflossingen 944.199867.554-1,112.832339.7981,296.228-113.567-612.458-1,416.023-278.2761,876.355379.811-63.811-100.17648.527-120.032206.963-26.71-104.97-191.48715.95635.87118.65474.139-59.706-34.798.860.7-182.8-48.1-151.5-13.7
Uitgifte van Gewone Aandelen 001,453.88804.8140000000000021.94921.395154.20811.9071.665001.3130.60.450099.50
Terugkoop van Gewone Aandelen -27.468-13.3380-5.143-11.031-500-250-2.194-1.549-150-582.298-63.575-178.132-14.945-5.812-168.952-101.209-31.8370-0.827-17.588-93.074-7.585-9.798-15.5-140.6-37.5-251.5000
Uitgekeerde Dividenden -187.188-184.429-177.853-161.818-152.204-144.596-140.557-135.353-119.302-84.102-78.107-69.113-57.759-49.643-56.141-55.935-40.031-31.582-29.847-30.142-26.228-22.979-23.844-19.752-18.797-19.271-16.563-14.233-13.5-9.60
Overige Financieringsactiviteiten -105.632-57.9-94.599-0.719-101.337-28.363-83.853-24.333-79.319-32.924-7.45219.2056.9488.123-10.5074.3036.3313.469-5.51-15.42902.4550.86200.10.107-0.0381.9190.14.597.5
Kasstroom uit Financieringsactiviteiten 623.911611.88750.212177.2611,042.687-786.526-1,086.868-1,577.903-478.3251,609.329-288.046-177.294-333.837-7.938-180.783-13.621-139.67-143.525-69.229686.332-6.28-105.09243.572-87.943-68.323-60.59311.562-446.581-61.5-57.183.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 222.686-37.217-35.33121.012-40.646-37.9278.239-19.9662.154-43.27612.472-2.031-5.538-10.321-0.624-15.6711.113.28-9.4261.9589.9638.381-0.5170.742-2.665000-33-32.1-32.5
Netto Kasstroomverandering -609.2421,059.87-307.452133.61457.79-581.983-1,132.4532,056.022-2,276.0342,012.529-0.4578.28-60.234220.85955.488122.752-18.94890.92912.1811.217-12.6117.05111.285-29.32127.441-13.14220.08-18.888-32.1-32.5-43
Kaspositie aan het Einde van de Periode 889.91,499.142439.272746.724613.11555.321,137.3032,269.756213.7342,489.768477.239477.696469.416529.65308.791253.303130.551149.49958.5746.3935.17337.63630.58519.348.62121.1834.32214.242000