Franklin Resources, Inc.

NYSE:BEN

20.41 (USD) • At close January 3, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 607.91,103.41,333.22,094.6787.11,205.5742.71,789.71,757.72,104.72,411.72,170.71,915.51,820.7761,451.496896.7781,588.2131,772.9381,267.5681,057.631706.664502.83432.723484.721562.089426.711500.45434.063314.73268.945251.308175.5124.198.289.4
Afschrijvingen & Amortisatie 400.2445.4377.8310.6128.593.476.480.387.197.494.693.5212243.574267.445181.272215.222198.619215.271212.173183.437177.42183.121223.846199.639200.014191.374123.90840.49140.9436.693-24.34.3-4.7-4.4
Uitgestelde Inkomstenbelasting -124.641.5983.7-7.1-1.3-50.6-161.4-39.3-8.3-156.9-174.916.3-3.306-12.05713.182-78.8310111.982-20.07149.15-20.89400000000.6-8.34-1.30.70.3
Aandelen Gebaseerde Vergoedingen 246.1215.8208.2171.9122.3111.5117.8123.4131.5140127.7113.4101.388.781.7184.44380.705000000000000000000
Verandering in Werkkapitaal 064.771.2-102.4493142.51,265.4-760.6-299.6-205.9-467-326.2-1,064.2-551.588-93.057-582.145-409.475-627.762-802.831-258.528-118.945-2.874223.438-101.894-32.972-192.241-151.366-378.8272.23-11.388-3.494-4.4-107.6-34.12.9
Vorderingen 0-63.2-86.7-182.5-4.2-34.3-90.1-96.74.245.2-113.7-268.100000-556.343-483.664-309.387-252.414-49.20566.266-88.36-63.098-130.768-125.087-260.713-33.4-14.90.1-22.9-56.300
Voorraden 01.786.7182.54.234.300000000000-4,749.974-4,456.749-4,078.078-4,018.777-2,645.951-2,008.81-1,719.786-1,287.877-1,171.539-940.369-761.284-669.354-420.461-510.622-315.9000
Crediteuren -36.5-2.760-26.8-26.8233.1-17.211.3-57.900000000361.299130.177360.246203.30595.53690.90674.82690.6669.29598.808142.5996.83.5-3.615.52.5-0.33.3
Overig Werkkapitaal 0128.911.2-75.6519.8-90.61,282.6-760.6-299.6-205.9-467-326.2-1,064.2-551.588-93.057-582.145-409.4754,317.2564,007.4053,768.6913,948.9412,596.7462,075.0761,631.4261,227.3431,040.771815.282500.571698.184420.473510.628318.9-53.8-33.8-0.4
Overige Niet-Contante Posten -158.3-732.1-131.7-1,233-502.4-1,350786490.3124.1127.9159.2-114.723.622-44.49847.87213.407329.838485.998.004123.052-108.457-102.482-53.486-27.043149.983153.205249.3852.132-0.043-1.448.651.29.68.9
Kasstroom uit Operationele Activiteiten 971.31,138.71,956.71,245.41,021.4201.62,229.71,135.41,727.72,2522,1382,035.71,066.21,621.7781,651.039641.4021,409.2411,673.6331,277.891,089.209943.358548.025736.8553.187701.713584.467693.663428.529359.583296.454274.807199.470.769.7100.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -177.1-148.8-90.3-79.3-103.7-233.7-106.5-74.9-97.6-68.8-53.1-62.2-78.4-131.722-57.403-45.183-70.215-94.144-69.05-82.271-25.933-52.653-53.062-107.326-108.432-135.168-162.181-82.973-64.419-40.3-39.2-20.1-16.4-6.5-12.8
Netto Overnames 175.1-500.5-1,354.7-9-3,821.4-684.2-86.8-1400-150.80.80-111.05200.5336.717-92.307-3.795-0.037-68.2552.494-51.779-99.0584.0884.083-64.333-550.7420000000
Aankoop van Beleggingen -7,957.9-5,171.7-4,918.1-4,808.8-249.4-502.4-456.6-522.9-712.7-736.1-1,037.6-1,256.5-853.2-1,587.812-759.708-2,078.482-2,101.371-1,067.228-774.086-1,340.595-2,348.952-2,619.955-1,775.919-1,078.717-660.994-756.689-518.358-137.139-131.704-149.488-106.955-33.5-232.3-5-19.4
Verkoop/verval van Beleggingen 02,470.93,0142,218.2972343.2359.57131,002.51,053.81,253.81,526.51,575.71,986.308784.4432,413.0711,231.465939.455875.8651,086.8073,504.8092,416.3411,494.235650.358400.551940.667114.587127.202166.603113.265140.92640.743.68.70
Overige Investeringsactiviteiten 5,536.2-23219.963-40.6-439.7-97.1-49.2289.8317.7227.524.3229.3280.19100-162.7188.0567.5978.537-119.985-17.63169.827-144.87-71.052-25.604151.80950.215104.132-75.443-268.168-526.90-66.3-60.8
Kasstroom uit Investeringsactiviteiten -2,423.7-3,582.1-3,329.2-2,615.9-3,243.1-1,077.1-290.452192.2248.9390.6232.9873.4435.913-32.668289.939-1,096.122-306.16836.524-257.559941.684-271.403-216.698-779.613-435.83927.289-478.476-593.43774.612-151.966-273.397-539.8-205.1-69.1-93
Financieringsactiviteiten:
Schuldaflossingen 2,183.82,134.92,138.62,066.11,056.3459.9-382.9-641.6-146-14.7-180-743.9313.1-105.719851.514.465-384.268-140.104-48.702241.102-0.869500.40927.935215.527-28.888-201.832-2.287287.603-68.7061.422-38.382337.426149.71.4-1.9
Uitgifte van Gewone Aandelen 20.823.325.122.320.623.324.824.924.125.532.641.349.149.59141.76224.356066.13198.298130.651128.19945.43517.0452.1581.1421.4562.8911.8781.2190.40.1581.9970.40.20.8
Terugkoop van Gewone Aandelen -274.4-256.3-180.8-208.2-218.2-754.5-1,424.8-765.3-1,308-1,059.8-622.2-491-797.4-954.2-675.754-376.907-1,543.311-1,288.657-985.915-170.135-67.593-575.681-124.929-172.113-250.042-64.334-42.592-19.135-53.413-42.149-26.4100-6.3-14.7
Uitgekeerde Dividenden -656.4-607.3-583.1-559.7-533.2-518.6-2,116.9-441.2-408.7-666.4-290.4-882.7-663-216.342-883.539-192.784-179.033-142.747-117.73-598.659-82.006-75.441-71.778-63.471-57.953-54.279-49.274-40.387-34.65-31.688-25.415-22.3-19.7-17.4-2.2
Overige Financieringsactiviteiten 141.8734.4185.2709.6408.9749.4138.1867.237.9103.2-135.358.2-198.814.7242.8674.923806.637122.26167.947-275.8270.72-98.25316.02267.297-3.372-29.566-10.623-124.499-38.155-21.15-3.93717.5842.920.510.7
Kasstroom uit Financieringsactiviteiten 1,415.62,0291,5852,030.1194.2-40.5-3,761.7-956-1,800.7-1,612.2-1,195.3-2,018.1-1,084.9-968.185-594.919-340.608-1,299.975-1,449.247-853.438-596.679-21.549-203.531-135.70549.398-339.113-348.555-101.885105.46-193.705-93.165-93.986334.7133.3-1.6-7.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 43.334.3-77.2-2.227.4-37-16.735-4-116.6-60.421.2-1.9-14.609-4.187-13.834-69.77552.830000000000000340.4134.4-0.6-7.7
Netto Kasstroomverandering 6.5-380.1135.3657.4-2,000.1-953-1,839.1266.4115.2772.11,272.9271.7852.81,074.8971,019.265576.899-1,056.631-28.952460.976234.9711,863.49373.091384.397-177.028-73.239263.201113.302-59.448240.4951.323-92.576334.7133.3-1.6-7.3
Kaspositie aan het Einde van de Periode 4,408.94,402.44,782.54,647.23,957.55,957.66,910.68,749.78,483.38,368.17,5966,323.16,051.45,198.6134,123.7163,104.4512,527.5523,584.1833,613.1353,152.1592,917.1881,053.695980.604568.977746.005819.244556.043442.741502.189261.699210.376643.3137.23.4-2.6