Amcor plc

NYSE:AMCR

11.11 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 7301,058815951617437.4719.584596.418245.474679.415531.757548.108422.253381.228155.526170.853247.606452.672260.682132.065241.696243.444479.507144.109173.682189.51731.35-60.364266.805255.46187.52210.351199.06175.803131.84599.451
Afschrijvingen & Amortisatie 587586625574652453352.7358.8354.2344.6374.2328.466000000000000000000000000
Uitgestelde Inkomstenbelasting -37-57-334-113.772.8-73.500000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 325463583418.62126.524.228.330.332.811000000000000000000000000
Verandering in Werkkapitaal -120-265-207-471406.7-122.57288.5-160.4-73.2-173.845000000000000000000000000
Vorderingen -4393-272-189133.3-83.70.779-106.7-86-5.2-18.767000000000000000000000000
Voorraden 95248-626-11225.63.2-95-52.9-65.6-17.414.2-52.456000000000000000000000000
Crediteuren -43-429711342-48.1120.5137129.7211.1000000000000000000000000000
Overig Werkkapitaal -129-177-20-8829.2-33.3-165.2-83.849.7-57-82.2-102.623000000000000000000000000
Overige Niet-Contante Posten 1,326-115263-7954.7-212.4802.2-596.418-245.474-679.415-531.757-548.108-422.253-381.228-155.526-170.853-247.606-452.672-260.682-132.065-241.696-243.444-479.507-144.109-173.682-189.517-31.3560.364-266.805-255.46-187.52-210.351-199.06-175.803-131.845-99.451
Kasstroom uit Operationele Activiteiten 1,3211,2611,5261,4611,384776.1719.584596.418245.474679.415531.757548.108422.253381.228155.526170.853247.606452.672260.682132.065241.696243.444479.507144.109173.682189.51731.35-60.364266.805255.46187.52210.351199.06175.803131.84599.451
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -492-526-527-468-400-332.2-369.83-378.831-350.865-322.58-341.01-434.124-721.493-666.375-426.21-455.419-520.47-514.673-360.933-493.641-423.265-599.749-197.613-147.324-193.922-282.306-265.577-362.257-504.237-389.972-323.03-262.875-109.653-108.73300
Netto Overnames 19188-1214425258.2-13.119-335.872-499.396-97.473-87.371-183.159-117.588-345.959-2,078.528-91.923891.304-97.54152.7880.839-404.598-1,800.191-203.412-341.799301.272343.92124.459-27.35692.295-127.978-352.816-50.956-65.736-50.39800
Aankoop van Beleggingen -3-57-17-5-0.2-0.5-13.9000000000000-27.29700-208.817-338.227-63.16820.1614.0326.225-48.668-4.403-27.585-2.473-10.415-54.33300
Verkoop/verval van Beleggingen 0571750.20.5002.3000000000059.01700441.73-3.725428.4430.1340.318.59126.6188.0251.719164.915135.075180.1100
Overige Investeringsactiviteiten -4763018261384.7154.94982.719-152.35385.189-51.68879.85344.92782.72225.15683.933143.608131.46724.8593.6685.85639.013319.446354.353-280.196-4.20618.376-0.60327.24834.37441.480.48220.86915.8600
Kasstroom uit Investeringsactiviteiten -476-308-510-2283810.7-228.001-631.984-1,002.614-334.864-480.069-537.43-794.154-929.611-2,479.582-463.408514.442-480.746-183.286-457.422-742.007-2,360.928151.334-476.723192.42977.703-208.402-355.399-406.744-479.955-660.233-150.907-29.86-17.49400
Financieringsactiviteiten:
Schuldaflossingen -43-399-1,248-258-1,033-119-4,631.577-3,741.451-5,064.557-5,691.284-9,387.463-5,858.255-5,379.577-7,701.195-5,236.561-4,057.93-6,231.379-5,060.645-5,070.643-2,672.019-3,367.871-4,141.444-2,374.451-191.261-378.59-383.106-254.9-304.832-319.568-59.373-123.251-451.759-270.325-190.52400
Uitgifte van Gewone Aandelen 013411430119.327.92923.77739.72245.8448.76979.39632.44234.7351,334.80623.16210.52419.593106.484-2.5169.22918.732902.094203.13.5238.5456.518215.30473.47458.876115.381120.5080000
Terugkoop van Gewone Aandelen -81-519-630-359-604-20-74.244-83.718-351.066-420.153-125.972-132.875-226.178,281.6416,100.795-0-334.861-282.358-42.892,835.7283,691.717-02,055.793-3.419-73.915-24.833324.305-3.01400000000
Uitgekeerde Dividenden -722-723-732-742-761.1-679.7-523.587-488.623-483.004-479.475-467.264-436.405-453.978-462.775-243.233-232.834-292.573-270.738-229.145-264.282-157.309-130.043-118.962-87.006-145.919-165.485-149.55-178.98100000-59.58400
Overige Financieringsactiviteiten -8574931,610-3501,149-1984,488.3563,953.3445,731.2916,072.3879,428.7015,960.015,899.769-9.1911.74,096.835,948.3745,162.684,590.092-13.801-101.2374,520.726-8.501389.002127.29187.182-0272.653577.947292.958300.54316.00143.82-23.11700
Kasstroom uit Financieringsactiviteiten -857-1,014-886-1,179-1,236-765-713.124-336.672-127.615-472.684-503.229-388.129-127.515143.2141,957.506-170.772-899.915-431.467-646.102-116.89174.529267.97455.973310.416-467.61-477.697-73.6271.13331.853292.461292.67-15.25-226.505-273.22600
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -89-100-13065-1081-5.765-13.487-160.499-1.39821.65411.042-15.146-58.889-20.9922.744-21.718-4.753.562-8.769-1.468-6.603-3.3786.7874.06-61.14746.125-2.864-4.8046.889-1.719-0.574-0.4360.03500
Netto Kasstroomverandering -101-161-75107141-19.2-15.50544.257-185.137192.05159.86640.519127.72-5.451123.316-87.726225.601-114.334-110.41770.68452.436-1,510.1881,111.02452.6127.583-40.85464.93522.30748.038-0.142-122.38176.17159.56224.367131.84599.451
Kaspositie aan het Einde van de Periode 588689775850743601.6538.794557.157516.291696.592504.924334.468329.635210.867172.01446.244158.82-59.20348.233163.02284.66731.0621,287.805160.234125.918132.308161.035116.65898.59545.59528.342137.7968.9069.593131.84599.451