Avery Dennison Corporation

NYSE:AVY

189.38 (USD) • At close December 24, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 215167.2162.7252.3253.7232224.4195.1158.8227351.6235.4178127.5138.1105.571.558.598.584.829.522.819.111.46.918.53.33.8273.15.83.95.36.53.15.982.42.2
Kortetermijnbeleggingen 35.131.333.432.630.626.122.317.617.617.117.417.7000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 250.1167.2162.7252.3253.7232224.4195.1158.8227351.6235.4178127.5138.1105.571.558.598.584.829.522.819.111.46.918.53.33.8273.15.83.95.36.53.15.982.42.2
Nettovorderingen 1,414.91,374.41,424.51,235.21,212.21,189.71,180.31,001964.7958.11,016.5972.8877.1996.1918.6988.91,113.8910.2863.2887.4833.2733.4579.2609.8542.4478.8486448.5444.1391.8356.7389.8397.9429.6293.9276.6251.2203.3155.9
Voorraad 920.71,009.9907.2717.2663651.4609.6519.1478.7491.8494.1473.3475.1519.9477.3583.6631471.8439.7433.2406.1343.6267.4271.5279.8230.6230.1244.4223.2206.4184.1225.1253.1325193.8202.2195.1178.3137.1
Overige vlottende activa 210.3230.5206.8178.9181.5198.8201.3172155.6247.1212.2730.2677.2308.4199.2252.4242214.9156.9137172.1115.7116.889.7126.974.174.1107.8105.875.66842.544.285.714.917.835.114.613.3
Totaal vlottende activa 2,7962,7822,734.62,416.22,340.62,2982,237.91,904.81,775.41,924.12,091.82,411.72,219.81,951.91,733.21,930.42,058.31,655.41,558.31,542.41,440.91,215.5982.5982.4956802793.5804.5800.1676.9614.6661.3700.5846.8505.7502.5489.4398.6308.5
Niet-vlottende activa:
Materiële vaste activa, netto 1,8261,540.21,477.71,343.71,210.71,137.41,097.9915.2847.9875.3922.51,015.51,078.41,262.91,354.71,4931,591.41,309.41,295.71,3811,289.81,199.21,074.61,0791,043.51,035.6985.3962.7907.4831.6758.5779.9814.2821.7479462.6401.3345.2271.4
Goodwill 2,013.61,862.41,881.51,136.4930.8941.8985.1793.6686.2721.6751.1764.4759.3940.8950.81,716.71,683.3715.9000000000000000000000
Immateriële activa 953.6840.3911.4224.9126.5144166.366.745.867.496125161.2228.9262.2303.6314.295.5771.8902.8867.9776.6413.2394.3397145.1133.7135.9124.3127.6129.2137.9146.7151.7136.1137.1119.4107.40
Goodwill en immateriële activa 2,967.22,702.72,792.91,361.31,057.31,085.81,151.4860.3732789847.1889.4920.51,169.71,2132,020.31,997.5811.4771.8902.8867.9776.6413.2394.3397145.1133.7135.9124.3127.6129.2137.9146.7151.7136.1137.1119.4107.40
Langetermijnbeleggingen -35.185.549.35.38.86.79.10.100000000000000-91.1-94-99.4-63.6-50.2-43.500000000000
Belastingvorderingen 115.7115.1130.2212.7225.4205.3196.3313.2372.2365.4263.4331.6322.3266236.6168.959.942.7000091.19499.463.650.243.500000000000
Overige niet-vlottende activa 540725786.9759.7646444.3444.3402.8406.2463.6485.8457.1431.7448.9465.3423.1537.7474.7578.1573.1506.7461.1348.9243.4196159.9134133.6131.8127136.7104.97970.121.316.940.716.934.8
Totaal niet-vlottende activa 5,413.85,168.55,2373,682.73,148.22,879.52,8992,491.62,358.32,493.32,518.82,693.62,752.93,147.53,269.64,105.34,186.52,638.22,645.62,856.92,664.42,436.91,836.71,716.71,636.51,340.61,2531,232.21,163.51,086.21,024.41,022.71,039.91,043.5636.4616.6561.4469.5306.2
Totaal activa 8,209.87,950.57,971.66,098.95,488.85,177.55,136.94,396.44,133.74,417.44,610.65,105.34,972.75,099.45,002.86,035.76,244.84,293.64,203.94,399.34,105.33,652.42,819.22,699.12,592.52,142.62,046.52,036.71,963.61,763.11,6391,6841,740.41,890.31,142.11,119.11,050.8868.1614.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,277.11,339.31,298.81,050.9994.71,030.51,007.2841.9814.6797.8889.5804.3736.5748.2689.8672.9679.2630.1577.9619.2548.5441316.4326.4316.8269.8245.3230.7169.9181.5140.8157163.8163.700000
Kortlopende schulden 804.1598.6366.1109481.6136.5265.4579.195.3204.376.9520.2227.1381535.66651,110.8466.4364.7204.5292.630722354.368.271.343.696.2115.473.486.592.794.5134.462.968.449.548.829.1
Belastingschulden 57.676.274.986.371.458.149.237.90000000000000000000000000000000
Uitgestelde opbrengsten 18.122.224.718.912.658.1037.9325.1331.90000000370.6523.5486.5563.8477.2320.80000000000000000
Overige kortlopende verplichtingen 730.8785.7783.4679.8693.5652.7650545.4549.2598.5587.7750683.5702.6642.3720.1687.6602.3583563.6654.9548.1411.9420465.4323.2341367387.2299.2245.7189216.2249.9261.2261.2274.1194.5147.1
Totaal kortlopende verplichtingen 2,699.52,799.82,547.91,9262,253.81,9941,971.82,004.31,459.11,600.61,554.12,074.51,647.11,831.81,867.72,0582,477.61,698.81,525.61,387.31,4961,296.1951.3800.7850.4664.3629.9693.9672.5554.1473438.7474.5548324.1329.6323.6243.3176.2
Langlopende verplichtingen:
Langetermijnschulden 2,615.12,625.32,932.92,168.11,598.21,771.61,341.3713.4963.6945.3950.6702.2954.2956.21,088.71,544.81,145501.67231,007.2887.7837.2626.7772.9700.8465.9404.1370.7334347.3311334.8329.5376213.2214.7203.9220.886.8
Uitgestelde opbrengsten niet-vlottend 02.1-238.5-117.3-110.3-122.1-173.3-92.3-107.9-127.8-137.3-140.5-125.8-124.6-127.8000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0247.9238.5117.3110.3122.1173.392.3107.9127.8137.3140.5125.8124.6127.8116.4241.378.586.69167.47491.19499.463.650.243.541.54044.867.680.987.566.265.457.35437.2
Overige niet-vlottende verplichtingen 767.3245.3327.9386.2432.5456.8604.3660.9637.4677.2476.4607.2587.1541.1556566.5391.5318.6356.8365.1335.5388.7220.7203.4132115.5125.196.699.892.791.140.330.532.5000.100
Totaal niet-vlottende verplichtingen 3,382.43,118.53,499.32,6732,0312,228.42,118.91,466.61,708.91,750.31,564.31,449.91,667.11,621.91,772.52,227.71,777.8914.31,166.41,463.31,290.61,299.9938.51,070.3932.2645579.4510.8475.3480446.9442.7440.9496279.4280.1261.3274.8124
Totaal passiva 6,081.95,918.36,047.24,5994,284.84,222.44,090.73,470.93,1683,350.93,118.43,524.43,314.23,453.73,640.24,285.74,255.42,613.12,6922,850.62,786.62,5961,889.81,8711,782.61,309.31,209.31,204.71,147.81,034.1919.9881.4915.41,044603.5609.7584.9518.1300.2
Eigen vermogen:
Preferente aandelen 0000000000000000000000551.8609.8977.900000000000000
Gewone aandelen 124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.1124.100000000000
Ingehouden winsten 4,691.84,414.63,880.73,349.32,979.12,864.92,596.72,473.32,277.62,137.12,009.11,910.81,810.51,727.91,499.72,381.32,290.22,139.91,945.31,887.61,772.51,664.81,556.11,448.31,288.51,185.11,063.6945.6837.8753.2698.9666.6636.1620.2426.3363.60291.5256.8
Overige gereserveerde algehele resultaten -408.1-364-282.9-334.6-348.1-682-680.5-751.9-683-547.3-281.1-278-263.2-142.9-145.2-530.6-347.8-658.3-648.8-631.5-684.6-875.8-824.6-820.6-1,083.7-16.2-4556.2-744.7-700.7-654.2-619.3-606.5-574-279.3-249.3-189.4-189.4-156.7
Overige totale aandeelhoudersvermogen -2,279.9-2,142.5-1,797.5-1,638.9-1,551.1-1,351.9-994.1-920-753-647.4-359.9-176-12.9-63.4-116-472.9-77.174.891.3168.5106.7143.373.8-1,143.3481-459.7-305.5-293.9722.7676.5674.4755.3795.4800.1391.6395.1655.3247.9214.4
Totaal eigen vermogen van aandeelhouders 2,127.92,032.21,924.41,499.91,204955.11,046.2925.5965.71,066.51,492.21,580.91,658.51,645.71,362.61,7501,989.41,680.51,511.91,548.71,318.71,056.4929.4828.1809.9833.3837.2832815.8729719.1802.6825846.3538.6509.4465.9350314.5
Totaal eigen vermogen 2,127.92,032.21,924.41,499.91,204955.11,046.2925.5965.71,066.51,492.21,580.91,658.51,645.71,362.61,7501,989.41,680.51,511.91,548.71,318.71,056.4929.4828.1809.9833.3837.2832815.8729719.1802.6825846.3538.6509.4465.9350314.5
Totaal passiva en aandeelhoudersvermogen 8,209.87,950.57,971.66,098.95,488.85,177.55,136.94,396.44,133.74,417.44,610.65,105.34,972.75,099.45,002.86,035.76,244.84,293.64,203.94,399.34,105.33,652.42,819.22,699.12,592.52,142.62,046.52,036.71,963.61,763.11,6391,6841,740.41,890.31,142.11,119.11,050.8868.1614.7