Barnes Group Inc.

NYSE:B

28.41 (USD) • At close September 5, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 2,1441,2724322,0222,3243,969-1,5451,438655-2,838-2,907270.52795.24964.71553.27839.00186.979101.33773.84554.15130.02632.91327.15119.12135.66528.634.540.432.627.520.34.45.815.916.812.4
Afschrijvingen & Amortisatie 1,4112,3992,5182,1631,8341,6761,8271,3751,5611,8561,74367.44357.3658.90452.7751.48752.40350.60742.22634.85834.17734.57133.62637.04535.87130.628.428.126.626.823.723.123.723.22218.2
Uitgestelde Inkomstenbelasting 000000000000000004.7072.7632.3-3.080-15.9416.515.8633.7-2.5-1.20.63.5-0.52-5.71.92.11.5
Aandelen Gebaseerde Vergoedingen 65665581877143.1808218.4-518.1288.8198.3197.6554.2085.8417.566000000000000000000
Verandering in Werkkapitaal -430-367-415-413-253-249-192-693-238-4-422-34.391.244-38.753-52.81544.651-32.044-41.368-11.456-29.783-19.245-8.093.84715.831-23.5828.211.47.2-13.8-7.6-3.5-10.923.5-5.7-10.5-0.9
Vorderingen -4-15589-46-192-118-98-581-24-23.764-4.16-24.707-35.89117.53126.329-12.836-7.942-15.749-11.566-2.7475.69211.3781.087-1.77.7-4.8-2.30.4-9.4-4.50.8-1.7-7-10.9
Voorraden -172-97-219-1631219-111-372-19024-782.0795.404-12.384-24.00653.523-2.725-41.775-24.658-22.978-8.559-4.5029.843-3.629-7.6312-3.83.2-10-6.1-11.67.77.50.31.7
Crediteuren 00000000000000.61512.4664.149-44.47514.683000000000000000000
Overig Werkkapitaal -254-115-285-204-182-140-72-329-43-109-320-12.7050-2.277-5.384-30.552-11.173-1.4421.1448.9440.88-0.841-11.6888.082-17.0387.97.58.8-1.5-1.96.9-815-11.5-3.88.3
Overige Niet-Contante Posten 1,3013628915251,425-2,6341,631.9-1355803,761.63,887-311.618-16.23227.8394.8724.136-1.371-2.5316.9438.12610.8390.6755.728-11.607-1.96-8.34.2-2.9-0.2-2.9-2.31-4.30.52.41.9
Kasstroom uit Operationele Activiteiten 4,4913,7323,4814,3785,4172,8331,7652,0652,6402,7942,29610.09136.377121.02465.76143.483111.808120.318114.32169.65252.71760.06954.41166.951.85762.87671.645.847.337.719.64335.832.833.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,174-3,086-3,049-2,435-2,054-1,701-1,400-1,396-1,126-1,713-2,432-57.304-37.787-37.082-28.759-30.502-51.869-50.197-41.712-26.097-28.509-18.397-19.367-22.365-26.575-119.5-34.6-33.4-33.9-35.8-31.8-22.2-16.2-19.1-21.6-18.2
Netto Overnames 0000075100000-307.264018.997005.447-2.991-147.896-1.991-17.72-61.142-31.189-1.036-104.935-92.2390000000000
Aankoop van Beleggingen 00000000000000000000000000-2.6000000-0.5-2.60
Verkoop/verval van Beleggingen 00000000000000000000000002.50000003.1000
Overige Investeringsactiviteiten 4102701,3385387681,000-941,0597141,963482522.012-295.02-12.527-1.544.422-60.251-74.873-57.737-57.369-29.335-15.952.589-3.193-3.03292.2391.9-0.81.7-0.80.51.518.1-2.1-2.7-12.5
Kasstroom uit Investeringsactiviteiten -2,764-2,816-1,711-1,897-1,28650-1,494-337-412250-1,950157.444-332.807-30.612-30.299-26.08-106.673-128.061-247.345-85.457-75.564-95.489-47.967-26.594-134.542-117-35.3-34.2-32.2-36.6-31.3-20.75-21.7-26.9-30.7
Financieringsactiviteiten:
Schuldaflossingen -14-56-395-27-379-309-687-1,533-2,057-3,133-47-107.6950-21.9060.722-101.8159.5215.977139.48621.80125.2220.869-15.939-6.81884.79994.2-4.5-9.21.3-7.4-2.7-4.4-16.6-6.52.914.8
Uitgifte van Gewone Aandelen 000000000000028.5795.7466.6875.17115.17628.1937.1014.53452.5623.7922.8453.921.53.66.54.95.841.71.22020.5
Terugkoop van Gewone Aandelen -4980-424-7500000000-68.608-19.037-34.066-28.1-0.314-34.209-0.054-0.712-0.149-3.498-0.206-1.147-8.798-9.197-22.4-17-10.7-1.2-1.700000-25.1
Uitgekeerde Dividenden -696-700-1,143-634-547-548-125-125-86-160-232-22.422-21.662-18.629-17.461-25.6-33.345-29.111-24.803-19.879-18.509-17.564-15.018-14.806-14.677-14.6-14-13.2-12-10.5-9.2-8.8-8.7-8.6-8.5-9.4
Overige Financieringsactiviteiten -587-449-642-979.848-1,328-282-113-228-1541821915.918240.9385.827-0.207-0.8321.1012.425-1.252-0.926-0.04-1.9173.9513.76600.1000.1000.1000-0.2
Kasstroom uit Financieringsactiviteiten -1,795-1,205-2,604-2,388-2,254-1,139-925-1,886-2,297-3,275-60-182.807219.276-40.195-39.3-121.869-1.761-5.587140.9127.9487.70753.744-24.362-13.81164.84558.8-31.9-26.6-6.9-13.8-7.9-11.4-24.1-13.1-5.60.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -6-3-6-1-3-1-933-13-11-0.2271.005-1.162-0.1380.935-3.016-1.43-0.64-0.3661.6873.109-2.595-0.93-2.489-1.2-1.3-2.3-0.5-1.1-0.6-2.4-2.80-1.3-3.1
Netto Kasstroomverandering -74-292-840921,8741,743-663-155-66-2442,69970.85686.35649.055-3.977-3.5310.358-14.767.248-8.223-13.45321.433-20.51325.565-20.3293.47.78.5-17.9-22-24.1-39.1-18-17-18-18.1
Kaspositie aan het Einde van de Periode 4,0744,1484,4405,2805,1883,3141,5712,2342,3892,4552,69970.85686.35662.50513.4517.42720.95820.635.3628.11236.33549.78828.35548.86823.30343.640.232.500000000