Amphenol Corporation

NYSE:APH

63.3 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,945.51,916.81,580.11,213.31,1641,216.9660.7832.6772.3715.2638.748559.508528.842502.413327.216419.151353.194255.691206.339163.311103.9980.34483.71107.90444.336.551.267.662.942.424.78.6-6.5
Afschrijvingen & Amortisatie 406.4392.9395.6308.1312.1299.7226.8217171.6168.1136.482121.779119.439102.84698.52491.30282.34873.12451.64240.25738.4836.23848.89145.07942.83834.329.528.428.828.62629.9
Uitgestelde Inkomstenbelasting -58.8-4.7-29.630.815.2-12186.3-9.7-8.8-6.1-3.077-4.191-5.995-14.69200-11.953-2.5411.81.34411.168-0.6250000.10000000
Aandelen Gebaseerde Vergoedingen 9989.58370.56355.649.747.644.241.436.0731.41228.67925.38520.2416.31612.4449.718000000000000000
Verandering in Werkkapitaal 142-219.9-505.2-31.3-66.3-447.520.724.858.6-11.5-21.205-16.372-98.333-123.751155.402-45.246-60.578-55.642-35.8233.339-4.79815.606-13.7511.17-31.7-19.73-28.7-11.715.71.2-12.4-14.4
Vorderingen 146.4-273.1-398.4-146.3117.3-237.9-146.5-165.9-22.3-111.5-37.046-123.87-9.664-157.65796.5881.419-87.013-60.603-45.152-26.016-28.7991.05400000000000
Voorraden 71.4-278.5-263-102-3.4-173.3-100.4-14.2-5.2-51.6-7.997-45.934-88.486-65.17976.332-47.57-22.724-81.878-20.636-14.5114.64712.897-2.793-4.402-9.8-9.2-17.7-10.8-1.813.58.7-8.6-5.9
Crediteuren -34.662.5131.7204.3-60.248.8140.547.8-17.566.86.90899.416-27.54776.932-31.7092.69943.65146.38225.8283.2420.7763.70100000000000
Overig Werkkapitaal -41.2269.224.512.7-120-85.1127.1157.1103.684.816.9354.01627.36422.15314.191-1.7945.50840.4574.13740.626-1.422-2.046-10.9585.572-21.9-10.520.7-17.9-9.92.2-7.5-3.8-8.5
Overige Niet-Contante Posten -5.41,378.916.20.614.31,029.3619.9-34.7-7.4-26.2-17.968-17.457-7.425-67.308-19.085012.4449.2475.66600.1970008.7-1.7-2.2-0.2-0.4221.31.4
Kasstroom uit Operationele Activiteiten 2,528.72,174.61,540.11,5921,502.31,112.71,144.21,077.61,030.5880.9769.05674.679565.207424.893582.297481.523387.899289.597229.624208.251159.404131.563118.85154.15364.153.286.368.279.288.956.523.510.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -372.8-383.8-360.4-276.8-295-310.6-226.6-190.8-172.1-209.1-158.448-129.099-100.222-109.458-63.058-107.34-103.772-82.421-57.121-44.341-30.196-18.816-38.555-53.105-23.5-59-28.1-20.3-20.4-10.9-6-6.7-10
Netto Overnames -970.4-288.2-2,225.4-50.4-937.4-158.9-265.5-1,305.1-199.8-518.2-484.907-251.523-303.273-180.402-280.014-135.807-179.3-22.473-512.307-41.6610-33.796-60.518-67.716000000000
Aankoop van Beleggingen -305.7-309.4-164.5-141.6-65.4-52.2-40.2-232.4-134.7-721-741.062-379.605-181.88-198.228-33.342-2.938-1.360000000000000000
Verkoop/verval van Beleggingen 246.3228.2155.9123.261.674.9148108.5470.6660.8687.391261.8146.373138.01263.058-0.9400000000007.4000000
Overige Investeringsactiviteiten 8.922.1706.912.17.454.17.18.75.63.7124.8288.1181.851-59.8340.945.3545.921-512.307-41.661-51.101-33.79600-12.200-29.5-1-2.6-1.8-15.1-1.4
Kasstroom uit Investeringsactiviteiten -1,393.7-731.1-1,887.5-333.5-1,228.8-441.8-380.2-1,612.7-27.3-781.9-693.314-493.599-430.884-348.225-373.19-246.085-279.078-98.973-569.428-86.002-81.297-52.612-99.073-120.821-35.7-59-20.7-49.8-21.4-13.5-7.8-21.8-11.4
Financieringsactiviteiten:
Schuldaflossingen -648.3-214.5-912.6-2,358.3-1,111.5-15.2-375-183.2-217.7-3,904-620.374-988.8-301.9-748.017-641.1590-41.622-102.557-331.13200000000000000
Uitgifte van Gewone Aandelen 749.4185.31,808.12,895.41,415.9157.81,087.5147.2435.74,541.81,136.5421,413.737899.28600034.5521.88236.4530.33535.9195.77701.915181.803410066.900153.7
Terugkoop van Gewone Aandelen -585.1-730.5-661.7-641.3-601.7-935.2-618-325.8-248.9-539.4-324.655-380.023-672.19100-293.625-93.594-72.658-8.704-45.643000000-1,048.5-52.7000-69.80
Uitgekeerde Dividenden -500.6-477.4-346.7-297.6-279.5-253.7-205-172.7-159.3-101.9-96.771-70.122-10.282-10.413-10.279-10.617-10.71-10.724-8.03400000000000000
Overige Financieringsactiviteiten -27.840.4-32.3-114.8-71.6-23.8-29.636510.117.613.84712.124-66.061823.151617.116110.302106.9358.899659.721-100.302-111.152-92.044-16.387-23.56-200.44.2642.726.3-50.4-140.6-5166-153.1
Kasstroom uit Financieringsactiviteiten -1,012.4-1,196.7-145.2-516.6-648.4-1,070.1-140.1-133.5-180.114.1108.589-13.084-151.14864.721-34.322-193.94-4.441-155.158348.301-115.61-75.233-86.267-16.387-21.645-18.64.2-64.8-26.4-50.4-73.7-51-3.80.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -20.7-70.8-12.368.9-13.2-40.660.6-34-54.8-3111.6637.7686.023-0.114-5.159-10.1525.1260000000000000000
Netto Kasstroomverandering 101.9176-504.9810.8-388.1-439.8684.5-702.6768.382.1195.988175.764-10.802141.275169.62631.346109.50635.4668.4976.6392.874-7.3163.3911.6879.8-1.60.8-87.41.7-2.3-2.1-0.4
Kaspositie aan het Einde van de Periode 1,4751,373.11,197.11,702891.21,279.31,719.11,034.61,737.2968.9886.838690.85515.086525.888384.613214.987183.64174.13538.66930.17223.53320.65927.97524.58512.93.14.84124.62.95.17.3