Affiliated Managers Group, Inc.

NYSE:AMG

177.06 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 813.6429.2908.51,039.7539.6565.5439.5430.8563.8550.6469.6430.4449.5313.328259.487396.431222.954201.729140.423140.277253.33427.70873.42731.61253.87923.73522.86.8
Kortetermijnbeleggingen 461716.978.574.959.4119.377.8122.4199.9172.6157.9128.9100.4115.965109.19679.188155.894123.866021.17300000000
Liquide middelen en kortetermijnbeleggingen 1,274.61,146.19871,114.6599565.5517.3553.2763.7723.2627.5559.3549.9429.293368.683475.619378.848325.595140.423161.45253.33427.70873.42731.61253.87923.73522.86.8
Nettovorderingen 368.4316419.2421.6417.1400.6433.8383.3391.2425.9390.3295.6249.4278.382140.118131.099237.636201.385148.8591.48765.28850.79857.14866.126239.38366.93927.115.5
Voorraad 1,648.91,473.70001,101.60918.9-22.6-20.854.300041.3030000000000000
Overige vlottende activa -1,648.9-1,473.7-1,415.2-1,545.8-1,030.9-1,101.6-906.3-918.922.620.821.857.477.161.75535.47834.60333.27327.29948.52924.79520.86111.0099.46415.4486.7055.1372.20.8
Totaal vlottende activa 1,6431,462.11,406.21,536.21,016.1966.1951.1936.51,154.91,149.11,093.9912.3876.4769.43585.582641.321649.757554.279337.802277.732339.48389.515140.039113.186299.96795.81152.123.1
Niet-vlottende activa:
Materiële vaste activa, netto 67.368.573.979.692.3104.3111110.1114.195.492.381.569.167.72562.40271.84569.87963.98450.59240.95336.88619.22817.80215.34612.3218.0014.73
Goodwill 2,523.62,648.72,689.22,661.42,651.72,633.42,662.52,628.12,668.42,661.52,341.72,355.22,117.32,131.1431,413.2171,243.5831,230.3871,177.2271,093.249888.567751.607739.053000000
Immateriële activa 1,812.41,8761,966.41,048.81,1821,309.91,449.71,497.41,686.41,778.41,460.71,585.51,321.11,424.165571.573491.408496.602502.0661,093.249888.567751.607739.053655.311444.116385.382321.409249.740.8
Goodwill en immateriële activa 4,3364,524.74,655.63,710.23,833.73,943.34,112.24,125.54,354.84,439.93,802.43,940.73,438.43,555.3081,984.791,734.9911,726.9891,679.2931,093.249888.567751.607739.053655.311444.116385.382321.409249.740.8
Langetermijnbeleggingen 2,769.42,561.12,509.62,3322,407.43,205.43,469.73,515.82,086.41,950.71,123.31,031.3615.8678.931658.332678.887842.49293.44301.476-124.168-92.707-61.658000000
Belastingvorderingen 463.8464.7503.2423.4450.2511.6467.4660.8565.7491.7456.9497.1506495.349322.671228.429257.022218.584182.623124.16892.70761.658000000
Overige niet-vlottende activa -219.9-200.1-272.1-192.5-146.2-511.6-409.3-599.6-491.1-420-250-275.8-286.8-275.528-222.871-109.103-150.432-143.66355.894726.169391.229395.198347.169221.082211.403180.113150.534.4
Totaal niet-vlottende activa 7,416.67,418.97,470.26,352.76,637.47,2537,7517,812.66,629.96,557.75,224.95,274.84,342.54,521.7852,805.3242,605.0492,745.9482,111.6411,983.8341,655.6891,179.7221,153.4791,020.282680.544609.106509.523404.978.2
Totaal activa 9,059.68,8818,876.47,888.97,653.58,219.18,702.18,749.17,784.87,706.86,318.86,187.15,218.95,291.2153,390.9063,246.373,395.7052,665.922,321.6361,933.4211,519.2051,242.9941,160.321793.73909.073605.334457101.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0778.3000746.6807.2729.3729.4816.8430.2324.790.139.7825.1288.9094.9719.3598.8114.353.52881.40467.13686.8170.29942.61718.80.4
Kortlopende schulden 39.138.538.940.5449.751.551.464.364.30000000239.942236.41565.7517.72811.74412.348252.894002207.4
Belastingschulden 62.3224.449.60042.99387.767.959.87300000000000000000
Uitgestelde opbrengsten 0464.7000-576.4-617.5-597.1-618.600000001.4870.9530.886-132.0781.309-81.404000000
Overige kortlopende verplichtingen 589.4-503.2750.2671.9184.9524.9566.1532.8554.309151.1337.6367.675221.987203.66369.95241.086181.152132.07884.8781.4040000015.8
Totaal kortlopende verplichtingen 628.5778.3789.1712.4634.6746.6807.2729.3729.4816.8521.2375.8427.7407.457227.115212.572316.352287.813256.588132.078101.45193.752320.0386.8170.29964.61718.823.6
Langlopende verplichtingen:
Langetermijnschulden 2,537.52,535.32,490.42,312.11,793.81,829.61,854.72,109.61,894.81,894.98651,115.1250882.118456.976740.661,197.5831,078.858599.732850.708423.34459.023200151.8175.3191.3159.533.4
Uitgestelde opbrengsten niet-vlottend 4,096.14,2404,491.93,900.13,237.73,250.53,311.73,649.100518.7515.5512.6509.872507.358730.828003000000000000
Uitgestelde belastingverplichtingen niet-vlottend 463.8464.7503.2423.4450.2511.6467.4660.8565.7491.7456.9513.7495.9495.349322.671228.429257.022218.584182.623124.16892.70761.65838.08131.90725.346000
Overige niet-vlottende verplichtingen -3,629.8-3,778.3-3,782.7-3,447.9-2,878.6-3,087.8-3,129.3-3,499.7213.3206170.5164.7581.3614.117395.06530.41433.51611.209320.14931.397246.14426.20223.7952.6361.34611.6142.53.8
Totaal niet-vlottende verplichtingen 3,467.63,461.73,702.83,187.72,603.12,503.92,504.52,919.82,673.82,592.62,011.12,3091,839.82,501.4561,682.071,730.3232,288.1211,608.6511,102.5041,006.273762.191546.883261.876186.343201.992202.91416237.2
Totaal passiva 4,096.14,2404,491.93,900.13,237.73,250.53,311.73,649.13,403.23,409.42,532.32,684.82,267.52,908.9131,909.1851,942.8952,604.4731,896.4641,359.0921,138.351863.642640.635581.906273.143372.291267.531180.860.8
Eigen vermogen:
Preferente aandelen 6,389.65,718.24,569.54,005.53,819.83,876.83,698.53,054.4000000000000000000042.5
Gewone aandelen 0.60.60.60.60.60.60.60.60.60.60.50.50.50.5390.4580.4580.390.390.390.3870.2350.2350.2350.2350.2350.17700
Ingehouden winsten 6,389.65,718.24,569.54,005.53,819.83,876.83,698.53,054.42,679.32,163.31,711.21,350.71,176.71,011.77873.137859.596836.426654.465503.188384.119306.972246.444190.502140.51383.85711.669-13.9-5.5
Overige gereserveerde algehele resultaten -167.6-203.4-87.9-98.3-108.8-109-21.8-122.9-18.131.87479.150100.46445.958-4.08164.73714.66616.7561.5370.944-0.244-0.846-0.342-0.05530.993-7.4-2
Overige totale aandeelhoudersvermogen -9,024.3-8,003.3-6,265.3-5,133.6-4,593.9-4,187.8-3,553.6-2,366.9175.3431.3348.5637.5638.8687.19190.137236.587-432.351-170.299297.047321.649306.618325.426353.449353.504393.949270.8162812
Totaal eigen vermogen van aandeelhouders 3,587.93,230.32,786.42,779.72,937.53,457.43,822.23,619.62,837.12,6272,134.22,067.81,8661,799.9631,109.691,092.56469.202499.222817.381707.692614.769571.861543.34493.91477.986313.655259.737
Totaal eigen vermogen 4,963.54,6414,384.53,988.84,415.84,968.65,390.45,1004,381.64,297.43,786.53,502.32,951.42,382.3021,481.7211,303.475791.232769.456962.544795.07655.563602.359578.415520.587536.782337.803276.240.5
Totaal passiva en aandeelhoudersvermogen 9,059.68,8818,876.47,888.97,653.58,219.18,702.18,749.17,784.87,706.86,318.86,187.15,218.95,291.2153,390.9063,246.373,395.7052,665.922,321.6361,933.4211,519.2051,242.9941,160.321793.73909.073605.334457101.3