Franklin Resources, Inc.

NYSE:BEN

21.04 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,402.44,782.54,647.23,957.55,957.66,910.68,749.78,483.38,368.17,5966,323.16,051.44,788.2323,985.3122,982.5392,314.8183,584.1833,310.5453,076.3182,917.1881,053.695980.604568.977746.005819.244556.043442.741502.189261.699210.37630304500000
Kortetermijnbeleggingen 00000345.7314.51,121.91,251.21,277.51,196.72,583.81,913.5171,567.8991,581.8461,793.2111,065.242934.264873.176955.8641,880.321,553.0921,512.255662.67412.506491.912213.906199.481232.133179.6370617.3429.4000000
Liquide middelen en kortetermijnbeleggingen 4,402.44,782.54,647.23,957.55,957.66,910.68,749.78,483.38,368.17,5966,323.18,635.26,701.7495,553.2114,564.3854,108.0294,649.4254,244.8093,949.4943,873.0522,934.0152,533.6962,081.2321,408.6751,231.751,047.955656.647701.67493.832390.013303617.3433.4500000
Nettovorderingen 1,348.41,264.81,428.21,200.6839847.91,001.9794.3838952.51,268.6850.2772.475684.223581.81690.351865.128628.812549.203406.247338.292292.325296.165524.803444.495395.673530.05533.579599.392516.785119.60118.58300000
Voorraad 0005,222.90-345.7-314.5-1,121.9-1,251.2-1,277.5-1,196.70000082.08400133.78791.57997.783108.89518.01724.25722.13720.0399.9527.1678.23000000000
Overige vlottende activa -5,750.8-6,047.3-6,075.4-5,222.9-6,796.6-7,758.5-9,751.6-9,277.63,084.33,558.83,478.10142.544125.35998.22551.252908.26795.98121.891456.97523.366490.227673.2284.3613.1654.9913.7394.666.8765.2984.204.3373.100000
Totaal vlottende activa 5,750.86,047.36,075.45,158.16,796.67,758.59,751.69,277.69,206.18,548.57,591.79,485.47,616.7686,362.7935,244.424,849.6326,504.9044,969.6014,620.5884,870.0563,887.2523,414.0313,159.521,955.8561,703.6671,470.7561,210.4751,249.8611,107.267920.318506.8617.3556.2461.100000
Niet-vlottende activa:
Materiële vaste activa, netto 1,206.41,207.81,218.41,348.6683.7535517.2523.2510.1530.7564.1582.7589.748548.956535.459554.706559.483506.291489.366470.578356.772394.172449.626444.694416.395349.229217.085161.613118.62894.2186634.822.317.300000
Goodwill 6,003.85,778.64,457.74,500.82,130.31,794.81,687.21,661.21,661.21,6911,701.51,540.81,536.2121,444.2691,436.6261,438.0931,456.4111,406.8251,390.8511,381.7571,335.5171,321.939000000660.363678.668000000000
Immateriële activa 4,902.25,082.14,710.24,914.2864.2538.6540.5550.1595.8634.9657.7601.1611.979562.36567.974579.572601.833574.633656.593671.5684.281697.2461,988.821,169.4851,202.7771,253.7131,224.019641.9830069700000000
Goodwill en immateriële activa 10,90610,860.79,167.99,4152,994.52,333.42,227.72,211.32,2572,325.92,359.22,141.92,148.1912,006.6292,004.62,017.6652,058.2441,981.4582,047.4442,053.2572,019.7982,019.1851,988.821,169.4851,202.7771,253.7131,224.019641.983660.363678.66869700000000
Langetermijnbeleggingen 11,859.29,549.47,330.43,979.73,859.73,535.94,8613,9304,109.14,678.24,583.52,030.72,277.2211,134.2351,090.488916.059523.901471.553452.831388.819280.356263.92700000024.11718.158000000000
Belastingvorderingen 131.9102.8131.944.120.817.315.817.7100.798.1112.494.9551.246455.088430.208592.036593.217727.433567.436454.941573.536545.043000000302.2730000000000
Overige niet-vlottende activa 266.9292.6244.4275.4176.9203.4160.7139152.7175.7179.4415.9592.669200.387163.288246.422-296.499843.523716.262-9.516-146.965-213.62667.684472.408343.951406.351443.621320.7132.03326.623311.7-34.80.10.100000
Totaal niet-vlottende activa 24,370.422,013.318,09315,062.87,735.66,6257,782.46,821.27,129.67,808.67,798.65,266.16,159.0754,345.2954,224.0434,326.8883,438.3464,530.2584,273.3393,358.0793,083.4973,008.7073,106.132,086.5871,963.1232,009.2931,884.7251,124.3061,137.414817.6671,074.734.822.417.400000
Totaal activa 30,121.228,060.624,168.420,220.914,532.214,383.517,53416,098.816,335.716,357.115,390.314,751.513,775.84310,708.0889,468.4639,176.529,943.259,499.8598,893.9278,228.1356,970.7496,422.7386,265.654,042.4433,666.793,480.0493,095.22,374.1672,244.6811,737.9851,581.5834.3578.6478.5394177.2137.988.232.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 879.71,113.11,037.3793.8304.4226.9291.5233.3232.1314.4262.8241.6697.842509.809393.881520.013283.226263.019205.853287.573171.994205.441423.207179.481130.14619.963171.879208.859117.7126.891.7035.93200000
Kortlopende schulden 467.8528.4518.4621747.732.65.8392.802500084.51129.99764.15613.287660.773232.33169.3891700.2877.838.36168.776108.985117.956118.3720.42787.20484.48251.700000000
Belastingschulden 513.5523.1693.6703.3824.71,034.80000011.4128.82699.19728.36366.032119.66797.93625.7376.86243.512.5111.92561.66157.96867.31931.90827.67300000000000
Uitgestelde opbrengsten -467.80-518.4-621-747.7-32.6-5.8-392.80-1,232.300128.826430.076239.152373.255717.32585.93454.91489.686364.506321.636317.115319.369282.781276.746232.255105.608302.3170.009000000000
Overige kortlopende verplichtingen 513.5-5.3693.6846.5962.11,162.5113.3104.692.6982.301,467.5400.88536.7628.35129.335526.329-119.08321.745-26.144753.719804.048779.411160.887140.984240.809187.398236.783179.573198.39944.500000000
Totaal kortlopende verplichtingen 1,393.21,636.21,730.91,640.31,266.51,389.4404.8337.9324.7314.4262.81,709.11,312.0641,006.642725.54935.892,187.648962.196851.897921.1151,290.5061,338.9551,528.094728.513662.896655.474709.904551.677686.794409.69187.9035.93200000
Langlopende verplichtingen:
Langetermijnschulden 11,752.49,362.57,588.84,971.5747.7728.51,097.62,083.42,155.32,1492,295.12,839.12,083.926898.9030118.433162.125627.9191,208.391,196.4091,108.881595.148566.013294.09294.26494.459493.244399.462382.367383.668649.7155.55.54.26.12.63.66.70.4
Uitgestelde opbrengsten niet-vlottend 1,665.114,235.91,179.31,064502.4405.6396.6357.4433.2465.1444.50000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 450.4347.8311.7305.3120.1126.5170.6161.5241.4259.3272.5276.3274.435237.81218.845146.489214.511211.588235.005236.126203.498175.176000000001100000000
Overige niet-vlottende verplichtingen 1,286.2-11,346.5614.1724.1524.6482586.7569.3625.7722.11,308.1139.8982.948814.754824.517824.1825.287917.632838.144691.61257.75646.513193.64754.34752.6449.34937.83122.43714.47713.81212.50174.2153.500000
Totaal niet-vlottende verplichtingen 15,154.112,599.79,693.97,064.91,894.81,742.62,251.53,171.63,455.63,595.54,320.23,255.23,341.3091,951.4671,043.3621,089.104381.9231,757.1392,281.5392,124.1471,370.135816.837759.66348.437346.9543.808531.075421.899396.844397.48673.2155.5179.7157.76.12.63.66.70.4
Totaal passiva 16,547.314,235.911,424.88,705.23,161.33,1322,656.33,509.53,780.33,909.94,5834,964.34,653.3732,958.1091,768.9022,024.9942,569.5712,719.3353,133.4363,045.2622,660.6412,155.7922,287.7541,076.951,009.7961,199.2821,240.979973.5761,083.638807.17861.1367.1215.6189.7177.526.733.33610.1
Eigen vermogen:
Preferente aandelen 12,376.612,045.611,550.810,472.610,288.210,217.912,849.312,226.2000000000000059.74249.04100.25400000000000000
Gewone aandelen 49.65050.249.549.951.955.55760.462.363.121.221.76922.40122.93223.27824.54725.32525.27424.96824.59325.85626.0824.37325.10125.17412.6238.2268.2268.226000000000
Ingehouden winsten 12,376.612,045.611,550.810,472.610,288.210,217.912,849.312,226.212,094.811,639.510,003.99,118.18,462.57,530.8777,505.897,044.7327,049.4176,333.8435,206.4854,751.5044,129.6443,702.6363,342.9792,932.1662,566.0482,194.8351,757.5361,370.5131,091.204855.513630.4477.9378.2297.9226.1159103.750.621.5
Overige gereserveerde algehele resultaten -509.3-621-377.6-407.6-431.6-370.6-284.8-347.4-314.2-117.76.16240.462173.716103.3516.354258.311139.97799.72375.17547.847-59.742-49.04112.376-0.25400-71.4-57.6-44.1000000000
Overige totale aandeelhoudersvermogen -12,376.6-12,045.6-11,550.8-10,472.6-10,288.2-10,217.9-12,849.3-12,226.2-0-0-0000000185.583352.902255.137108.024538.454608.837-3.42265.84560.75884.06293.252119.213111.17690-10.7-15.2-9.1-9.6-8.50.91.60.9
Totaal eigen vermogen van aandeelhouders 11,916.911,474.611,223.410,114.59,906.59,899.212,62011,935.811,84111,584.110,073.19,201.38,524.7317,726.9947,632.1737,074.3647,332.2756,684.7285,684.3845,106.7844,310.1084,266.9463,977.8962,965.4932,656.9942,280.7671,854.2211,400.5911,161.043930.815720.4467.2363288.8216.5150.5104.652.222.4
Totaal eigen vermogen 13,573.913,824.712,743.611,515.711,370.911,251.514,877.712,589.312,555.412,447.210,807.39,787.29,122.477,749.9797,699.5617,151.5267,373.6796,780.5245,760.4915,182.8734,310.1084,266.9463,977.8962,965.4932,656.9942,280.7671,854.2211,400.5911,161.043930.815720.4467.2363288.8216.5150.5104.652.222.4
Totaal passiva en aandeelhoudersvermogen 30,121.228,060.624,168.420,220.914,532.214,383.517,53416,098.816,335.716,357.115,390.314,751.513,775.84310,708.0889,468.4639,176.529,943.259,499.8598,893.9278,228.1356,970.7496,422.7386,265.654,042.4433,666.793,480.0493,095.22,374.1672,244.6811,737.9851,581.5834.3578.6478.5394177.2137.988.232.5