Becton, Dickinson and Company

NYSE:BDX

231.59 (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 1,5301,7792,0928741,2203111,1009766951,1859291,109.5281,264.8521,176.341,213.0541,126.996890.033752.28692.283582.504547.056479.982401.652392.897275.7236.6300.1283.6251.7227.2212.8200.8189.8182.3168.9
Afschrijvingen & Amortisatie 2,2882,2292,2732,1542,2531,9781,0881,114891562546510.938504.089502.113470.193477.422441.341405.095387.496357.224344.456304.865305.7288.255258.9228.7209.8200.5207.8203.7189.8169.6149.9135.7121.9
Uitgestelde Inkomstenbelasting -622-120-304-302-381-240-236-426-336-323622.14730.04728.05560.04180.088-115.489-129.25963.229-31.345-1.02957.20237.437.2464.6-32.3-29.7-13.5-13.6-31.4-21.57.117.711.8-23.4
Aandelen Gebaseerde Vergoedingen 25923322923626132217419616611310089.04573.36379.37486.57400000000000000000000
Verandering in Werkkapitaal -828-1,394282512-143897-371399274-117160-3.477-253.269-68.75-89.739-87.287-165.88-154.79710.722111.22380.96368.882-17.486-31.235-233.5-40.6-57.6-23.75.285.5-77.4-68.8-97.3-54.5-74.4
Vorderingen -29032-95-48-51-170-93-128-2-7-1-30.069-26.515-73.933-82.80500000000000000000000
Voorraden -15-631-104-125-149246-4669200-189-145-92.413-117.539-116.5-98.344-43.617-126.863-103.897-44.34630.096-43.81821.112-32.29-64.663-131.6-54.1-24.1-10.1-7.931-31.2-6.2-17.4-24-55.6
Crediteuren -517-473687205-47086713436814519936617.14200000000000000000000000
Overig Werkkapitaal -6-322-206480527-46-36690-69-120-60101.863-109.215121.68391.41-43.67-39.017-50.955.06881.127124.78147.7714.80433.428-101.913.5-33.5-13.613.154.5-46.2-62.6-79.9-30.5-18.8
Overige Niet-Contante Posten 362-946757120-4037953003933-26432.04796.91827.136-23.30744.502107.706107.05672.44474.653-65.746-74.89814.629-71.6777.378.45.313.521.1-0.1-0.2-0.5-6-16.344.8
Kasstroom uit Operationele Activiteiten 2,9892,6334,6473,5393,3302,8652,5502,5591,7291,7441,5071,760.2281,7161,744.2681,716.8161,687.0991,240.4361,076.41,226.1741,097.534905.7836.033778.645615.493431.8500.8442.7460.4472.2479.5319.8308.2254.1259146.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -874-973-1,231-810-957-895-727-718-633-653-588-553.644-605.257-632.465-700.691-651.287-578.728-482.101-317.628-265.718-261.043-259.703-370.754-376.372-685.8-717.9-371.1-162.4-127.6-135.8-184.2-185.6-211.1-263.6-314.4
Netto Overnames 540-2,070-508-164477-14,747-9158-8,414-40600-103.424-492.081-21.37751.022-41.259-339.528-231.4640-24.25100-30.953-21.27200000000000
Aankoop van Beleggingen 00000895727-1633-171-225-137.855514,779.57963-338.228-51.987-34.048-28.305-44.946-41.447-4.399-3.397-25.468-9.2730-3.2000-6-10.3-11.1-50.1-27.9-3.6
Verkoop/verval van Beleggingen 000001113718840653-1,119486,870.373121.589535,740.3870.84019.9710001.9757.6527.632103.053.502.55.269.6059.50000
Overige Investeringsactiviteiten -382-188-141-258-261-1,093-887-826-744-7371,021-486,975.562-514,843.331-536,755.171-85.906-38.491-85.922-44.656-19.437-63.818-85.888-105.673-122.386-99.532-133.5-48.74.547.3113.99.4-38.1-133-37.75.2231.4
Kasstroom uit Investeringsactiviteiten -716-3,231-1,880-1,232-741-15,829-883-669-8,318-948-311-900.112-1,039.51-705.626-1,072.963-783.024-1,018.255-786.526-382.011-395.234-349.355-361.121-541.929-403.399-815.8-769.8-364.1-109.955.9-132.4-173.1-329.7-298.9-286.3-86.6
Financieringsactiviteiten:
Schuldaflossingen -2,155-805-5,112-1,760-4,744-3,996-3,980-752-600-42.346-34.216-200.269-0.311-7.052-221.892-120.735-52.689000000-315.400-82.60-57.80-78.700
Uitgifte van Gewone Aandelen 004,8692,91748504,827000035,05184.14850.09332.40385.396130.679147.796123.494176.07286.61838.06982.92534.72426.84629.435.419.830.91315.813.578.610.9
Terugkoop van Gewone Aandelen 0-500-1,75002,2240-220-320-400-450-1,500,000-1,500.001-750-550.006-450.001-450.124-448.882-549.999-449.93-349.998-223.961000-44.5-150-325.9-299.7-210.3-64.1-3.8-10.9-60-77.1
Uitgekeerde Dividenden -1,114-1,082-1,048-1,026-984-927-677-562-485-421-386-367.611-361.199-345.713-316.877-278.506-239.81-212.431-182.236-152.376-104.148-102.459-101.329-95.749-88.1-75.3-67.2-61.7-58.3-57-53.8-49.3-47.6-42.5-38.7
Overige Financieringsactiviteiten 1,3121,796-2652,808-2054,86615,635-4466,68214-5821,464,988.7851,096.88623.202755.09564.33555.118292.079136.923-78.19175.863-25.389-182.717-158.471426630.995.8-59.5-0.1-55.1-0.185.9157.337.931.1
Kasstroom uit Financieringsactiviteiten -1,957-591-3,30622-3,224-5710,978-1,7606,191-807-968-370.172-714.382-1,222.687-79.696-585.828-726.029-342.173-524.507-504.425-291.665-313.74-201.121-219.496364.7241.7-92-411.7-420.9-291.5-162.848.633.614-73.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5-4515-3-12-17-6-12-38-20-75.939-2.8155.79-0.390.74815.0419.6983.8561.61712.091-0.186-2.662-3.334-4-2.1-9.2-2.3-3.60.2-1.5-0.8-0.1-6-2.6
Netto Kasstroomverandering 322-1,233-5252,327-646-13,03912,638117-437-29219495.883-40.707-178.255563.767318.995-488.807-42.601323.512199.492276.771160.98632.933-10.736-23.4-29.3-22.6-63.5103.655.8-17.626.3-11.3-19.3-16.1
Kaspositie aan het Einde van de Periode 1,4811,1592,3922,9175901,14014,1791,5411,4241,8611,8901,671.1651,175.2821,215.9891,394.244830.477511.4821,000.2891,042.89719.378519.886243.11582.12949.19659.983.3112.6135198.594.93956.630.441.761.1