AutoNation, Inc.

NYSE:AN

178.33 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 75.172.660.4569.64248.669.264.874.175.469.269.786.695.1173.711132.852.2243.8107.2170.8176.2128.182.2369.3773.914863.6159.82.755.6168.81.90.2
Kortetermijnbeleggingen 000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 75.172.660.4569.64248.669.264.874.175.469.269.786.695.1173.711132.852.2243.8107.2170.8176.2128.182.2369.3773.914863.6159.82.755.6168.81.90.2
Nettovorderingen 1,063.5858.8730845.2916.7976.21,1111,032.9908.2817.8740.9698.4587.4462408.8387.4714.1813.7795.7773.2768.3759.8802.21,108.81,1511,605.3977.3316.332.87.417.324.211.410.40.20.3
Voorraad 3,033.42,048.31,847.92,598.53,305.83,650.53,365.63,520.13,6122,8992,827.22,396.91,809.21,8671,408.31,8762,325.72,361.42,682.72,640.52,919.32,598.42,178.52,769.22,706.81,853.51,094.834.2001.900000
Overige vlottende activa 134.9158.3173.4139.4146.6208.7251.797117.1207192.7196.1193205259.8179.7165.8158.5158.2156.8131.994.743.721673.84,173.64,605.72,170.714.24.13.44.63.41-0.10
Totaal vlottende activa 4,306.93,1382,811.74,152.74,411.14,8844,797.54,714.84,711.43,999.23,8303,361.12,676.22,629.12,250.62,554.13,238.43,385.83,880.43,677.73,990.33,629.13,152.54,176.24,300.98,406.36,825.82,584.8206.814.227.634.430.820.220.5
Niet-vlottende activa:
Materiële vaste activa, netto 4,183.73,930.73,703.53,447.63,507.73,155.32,962.72,843.22,667.42,4222,235.32,095.11,950.71,8381,729.21,9371,986.61,929.61,832.31,836.31,696.71,678.41,583.31,538.11,360.42,043.62,096.9846.4187.585.5101.4101.277.536.70.10.1
Goodwill 1,465.81,320.11,235.31,1851,501.91,513.21,5151,511.31,394.51,314.71,259.61,237.41,172.21,142.11,125.11,149.12,757.42,799.76.590000000000000000
Immateriële activa 927.8837743.5521.5581.6595.4586.8598.2439.9354.7335.1291.3217.8202174.8177.7319.9317.22,957.12,976.22,894.62,975.82,865.22,920.22,8312,473.41,604.6228.499.911.322.927.538.115.900
Goodwill en immateriële activa 2,393.62,157.11,978.81,706.52,083.52,108.62,101.82,109.51,834.41,669.41,594.71,528.71,3901,344.11,299.91,326.83,077.33,116.92,957.12,976.22,894.62,975.82,865.22,920.22,8312,473.41,604.6228.499.911.322.927.538.115.900
Langetermijnbeleggingen 407.5318.9-78.2-95.97-89.8-71.9-221.90000000000000-947.400000000000000
Belastingvorderingen 375.776.578.295.9151.989.871.9221.90000000000000947.400000000000000
Overige niet-vlottende activa 688.3438.5449.6580.4382.1517.2409.5392.5345.1309.1254.1218.1181.9163127.6196.2177.3174.7154.7208.7241.5301.5464.4195.51,121.11,002.50116.547.921.43.64.32.1100.2
Totaal niet-vlottende activa 8,048.86,921.76,131.95,734.56,132.25,781.15,4745,345.24,846.94,400.54,084.13,841.93,522.63,345.13,156.73,4605,241.25,221.24,944.15,021.24,832.84,955.74,912.94,653.85,312.55,519.53,701.51,191.3335.3118.2127.9133117.753.60.10.3
Totaal activa 12,355.710,059.78,943.69,887.210,543.310,665.110,271.510,0609,558.38,399.77,914.17,2036,198.85,974.25,407.36,014.18,479.68,6078,824.58,698.98,823.18,584.88,065.48,8309,613.413,925.810,527.33,776.1542.1132.4155.5167.4148.573.82.10.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,727.1327.6395.9335.2290.3306.2309.8303.7299.9264.7263235.81,564.71,543.9152.3140.21,933.4212.4214.4180.7176.4163.3149.7143.2163.1307.4260.8177.8153.17.5137.2000
Kortlopende schulden 952.42,222.11,847.63,107.54,168.64,6724,551.44,958.74,3403,122.23,059.12,57012.68.17.633.323.92,278.640.614.92,825.72,311.11,908.62,423.52,248.71,441.853248.200.97.18.55.64.500
Belastingschulden 0000612.600702.3722.7682.3604.4516.8461.300000000000000000000000
Uitgestelde opbrengsten 42.541.8279.9225.832.631.6000000536.5486.51,3881,927.900000000000000000000
Overige kortlopende verplichtingen 860.5814.2536.4497.4608.7648.3774.5566.8529.2495.1429.7395.9348.8360.9315.5354.4944.5539.53,157.13,215.6807.4506.3519.8574.6752.73,791.23,469.82,00248.96.19.56.4817.80.10.7
Totaal kortlopende verplichtingen 5,582.53,405.73,059.84,165.95,100.25,658.15,635.75,829.25,169.13,8823,751.83,201.72,462.62,399.41,863.42,455.82,901.83,030.53,412.13,411.23,809.52,980.72,578.13,141.33,164.55,540.44,262.62,22863.910.124.127.920.822.30.10.7
Langlopende verplichtingen:
Langetermijnschulden 3,027.94,196.73,106.32,079.11,883.51,926.21,959.21,611.11,753.72,103.41,809.82,066.31,634.41,340.61,1051,225.61,751.91,557.9484.4797.7808.5642.7647.3850.4836.12,315.62,333.6170.6014.926.218.5147.900
Uitgestelde opbrengsten niet-vlottend 70.666.660.55657.761.9000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 460.776.578.295.9135.189.871.991.578.6137.9116.589.462.325.924.60220.7225.4186.2156.7176.4947.4853.8877.2804.8227.10013.411.218.718.617.25.800
Overige niet-vlottende verplichtingen 1,002.6266.4261.8254.6204.7213.1235.4217.9207.6204.3174.3157.1144.9129.4111.1134.6131.780.572.370.279103.8158.3118.6206.8418.5446.8101.328.48.28.95.14.12.400
Totaal niet-vlottende verplichtingen 4,561.84,606.23,506.82,485.62,2812,2912,266.51,920.52,039.92,445.62,100.62,312.81,841.61,495.91,240.71,360.22,104.31,863.8742.91,024.61,063.91,693.91,659.41,846.21,847.72,961.22,780.4271.941.834.353.842.235.316.100
Totaal passiva 10,144.38,011.96,566.66,651.57,381.27,949.17,902.27,749.77,2096,327.65,852.45,514.54,304.23,895.33,104.13,8165,006.14,894.34,1554,435.84,873.44,674.64,237.54,987.55,012.28,501.67,0432,499.9105.744.477.970.156.138.40.10.7
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000
Gewone aandelen 0.60.60.811111.21.21.61.61.61.61.61.91.91.92.22.72.72.93.34.84.84.700000000000
Ingehouden winsten 4,6433,663.74,639.94,069.43,688.33,238.32,832.23,133.32,702.83,756.63,337.92,9632,646.62,365.22,2212,0233,266.12,989.42,672.52,1761,742.41,263.2881.6649.31,213.8930.9431.9-22.937.1-15.6-26.8-7.941.9-7.4-9.3
Overige gereserveerde algehele resultaten 000-0-0-1,332.8-1,211.1-1,093.2-1,009.8-930.5-883.7-826.8-756.8-689.60-0.7-0.2-0.41.8-1.5-3.24.21.616.6-645.4-645.4-81.9-81.9-12.2-19.1-15.4-3.3-1.4-2.7-2.6
Overige totale aandeelhoudersvermogen -2,432.2-1,616.5-2,263.7-834.7-527.2809.5747.2269655.1-755.6-394.1-449.33.2401.780.3173.9205.7721.51,992.52,085.92,207.62,639.52,939.93,187.43,376.15,138.73,697.81,381481.2115.8123.5120.691.734.912.112
Totaal eigen vermogen van aandeelhouders 2,211.42,047.82,3773,235.73,162.12,7162,369.32,310.32,349.32,072.12,061.71,688.51,894.62,078.92,303.22,198.13,473.53,712.74,669.54,263.13,949.73,910.23,827.93,842.54,601.25,424.23,484.31,276.2436.48877.697.392.435.420.1
Totaal eigen vermogen 2,211.42,047.82,3773,235.73,162.12,7162,369.32,310.32,349.32,072.12,061.71,688.51,894.62,078.92,303.22,198.13,473.53,712.74,669.54,263.13,949.73,910.23,827.93,842.54,601.25,424.23,484.31,276.2436.48877.697.392.435.420.1
Totaal passiva en aandeelhoudersvermogen 12,355.710,059.78,943.69,887.210,543.310,665.110,271.510,0609,558.38,399.77,914.17,2036,198.85,974.25,407.36,014.18,479.68,6078,824.58,698.98,823.18,584.88,065.48,8309,613.413,925.810,527.33,776.1542.1132.4155.5167.4148.573.82.10.8