The Bank of New York Mellon Corporation

NYSE:BK

90.32 (USD) • At close June 6, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986198519841983
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 101,937125,191107,355121,336162,160114,68388,000108,87177,949134,886123,147146,119138,747130,73972,42467,39698,56041,45816,33611,52612,07812,1299,8529,8418,46210,1268,5037,8957,4195,6933,8954,7805,3172,2553,712.63,530.1000000
Kortetermijnbeleggingen 98,673113,736118,202145,409150,848129,082137,113110,932101,876104,867131,731107,765115,24995,93184,28256,60641,59362,04630,0358,35510,33510,2358,69413,06517,84114,0984,9185,4362,1091,6983,9591,3617662,0621,808.82,136.9000000
Liquide middelen en kortetermijnbeleggingen 200,610238,927225,557266,745313,008243,765225,113219,803179,825239,753254,878253,884253,996226,670156,706124,002140,153103,50446,37119,88122,41322,36418,54622,90626,30324,22413,42113,3319,5287,3917,8546,1416,0834,3175,521.45,667000000
Nettovorderingen 7,0828,5856,9195,9035,7165,9246,7418,0327,5127,4939,0548,86610,30110,0509,9009,55311,51810,5959,363363285214204236354319355356315270290222201268375.9513000000
Voorraad 000000000000000000000000000000000000000000
Overige vlottende activa 2,7712,5552,4152,4222,0331,9551,7421,8111,2741,1911,1591,6609279281,5661,8037931,98685800000000000000000000000
Totaal vlottende activa 210,463250,067234,891275,070320,757251,644233,596229,646188,611248,437265,091264,410265,224237,648168,172135,358152,464116,08556,59220,24422,69822,57818,75023,14226,65724,54313,77613,6879,8437,6618,1446,3636,2844,5855,897.36,180000000
Niet-vlottende activa:
Materiële vaste activa, netto 3,2663,1633,2563,4313,6023,6251,8321,6341,3031,3791,3941,6551,6591,6811,6931,6021,6861,7311,0501,0041,0971,3981,192992924893856835875902914945718734822.2851.8872178145128122125
Goodwill 16,59816,26116,15017,51217,49617,38617,35017,56417,31617,61817,86918,07318,07517,90418,04216,24915,89816,3315,00800000000000000000000000
Immateriële activa 5,5275,2845,1615,0874,8964,6974,8724,9105,0495,1975,4595,7035,9266,1386,5926,1836,4636,9211,84100000000000000000000000
Goodwill en immateriële activa 22,12521,54521,31122,59922,39222,08322,22222,47422,36522,81523,32823,77624,00124,04224,63422,43222,36123,2526,8494,3214,2704,0922,5752,084000000000000000000
Langetermijnbeleggingen 170,268122,691128,639131,129111,68495,08095,894108,355112,392112,64788,09677,84760,95555,42246,65147,61558,38250,54434,89960,14559,58358,18649,64048,60943,66244,44644,80141,75542,05942,55737,73436,16732,03931,76936,296.139,580.7000000
Belastingvorderingen 000000000000000000000000000000000000000000
Overige niet-vlottende activa 9,94212,41117,68612,20911,1989,0769,3299,6498,7988,5027,3946,8287,1516,4736,1095,2172,6196,0443,81616,4046,8816,1435,5836,1985,8714,8744,0703,6842,9882,6002,0872,0711,8682,3382,374.32,244-872-178-145-128-122-125
Totaal niet-vlottende activa 205,601159,810170,892169,368148,876129,864129,277142,112144,858145,343120,212110,10693,76687,61879,08776,86685,04881,57146,61481,87471,83169,81958,99057,88350,45750,21349,72746,27445,92246,05940,73539,18334,62534,84139,492.642,676.50000-10
Totaal activa 416,064409,877405,783444,438469,633381,508362,873371,758333,469393,780385,303374,516358,990325,266247,259212,224237,512197,656103,206102,11894,52992,39777,74081,02577,11474,75663,50359,96155,76553,72048,87945,54640,90939,42645,389.948,856.547,38823,06520,70918,48615,15612,797
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 20,07318,39523,43525,15025,08518,75819,73120,18420,98721,90021,18115,70716,09512,6719,96210,7219,2747,5787,2661631138210192127131188182167190213111146225280392.8000000
Kortlopende schulden 14,36514,50712,33511,56611,30515,36016,18218,23810,74315,52512,2559,7447,7656,2775,6123,3601,5106,2721,0141,6941,7381,8731,1114,1192,7955,1436,1077,0025,8817,6396,2405,4924,7144,7255,272.47,632.1000000
Belastingschulden 5,2705,5675,4105,7675,6965,6425,6696,2255,8675,9866,3056,9857,3166,2356,1644,4843,7798,1015,1294,1244,4524,2564,0663,7663,2832,6442,1831,9101,4171,3781,049763381234335.297.3000000
Uitgestelde opbrengsten 000000000000000000000000000000000000000000
Overige kortlopende verplichtingen 286,255280,645276,131316,465338,182255,481234,308239,305216,490274,427267,885265,844250,711230,102160,626136,244156,703114,60159,52445,66354,26952,15051,32151,94553,09353,10742,44939,44737,92634,54033,04231,39629,06828,74033,68634,829.944,59621,12519,15417,13514,22712,034
Totaal kortlopende verplichtingen 325,963319,114317,311358,948380,268295,241275,890283,952254,087317,838307,626298,280281,887255,285182,364154,809171,266136,55272,93351,64460,57258,36156,59959,92259,29861,02550,92748,54145,39143,74740,54437,76234,30933,92439,573.642,952.144,59621,12519,15417,13514,22712,034
Langlopende verplichtingen:
Langetermijnschulden 31,07931,73630,85526,68026,33428,10032,39031,00725,21722,07021,05020,52719,91022,10719,37517,71116,62018,71310,1748,7216,1216,1215,4404,9763,0362,8112,0861,8091,8161,8481,7741,5901,7011,232864.8950.7072650243016999
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000000000000000000000
Overige niet-vlottende verplichtingen 17,25818,12216,76715,41916,91116,43913,72515,05314,58514,89717,92417,19919,75113,67312,36310,70121,53712,9888,67031,87718,54619,4879,0179,8107,1284,2773,7423,6092,8312,8932,2652,1221,3841,3682,065.82,189.4000000
Totaal niet-vlottende verplichtingen 48,33749,85847,62242,09943,24544,53946,11546,06039,80236,96738,97437,72639,66135,78031,73828,41238,15731,70118,84440,59824,66725,60814,45714,78610,1647,0885,8285,4184,6474,7414,0393,7123,0852,6002,930.63,140.11,31872650243016999
Totaal passiva 374,300368,972364,933401,047423,513339,780322,005330,012293,889354,805346,600336,006321,548291,065214,102183,221209,423168,25391,77792,24285,23983,96971,05674,70869,46268,11356,75553,95950,03848,48844,58341,47437,39436,52442,504.246,092.244,59621,85119,65617,56514,39612,133
Eigen vermogen:
Preferente aandelen 4,3434,3434,8384,8384,5413,5423,5423,5423,5422,5521,5621,5621,0680002,78600000001111112113119294400395394.8396.5000000
Gewone aandelen 141414141414141413131313131212121111107,8387,8367,8007,4537,4317,3917,3350000000000492263232151122115
Ingehouden winsten 42,53739,54937,86436,66734,24131,89428,65225,63522,62119,97417,68315,95214,62212,81210,8988,91210,22510,0159,2807,0896,1625,3304,7364,3833,5662,6201,3183,4932,7982,6892,0481,5361,010785781.2687.7806662619517435365
Overige gereserveerde algehele resultaten -4,656-4,893-5,966-2,213-985-2,638-3,171-2,357-3,765-2,600-1,634-892-643-1,627-1,355-1,835-5,401-574-317-141-6711317419920312000000000000000
Overige totale aandeelhoudersvermogen -9201,7573,9843,7287,9908,67111,60114,41716,40018,09819,81720,86221,37122,22022,79921,88820,42919,9512,456-4,910-4,702-4,773-5,636-5,571-5,005-4,8333,8171,5082,2172,4302,1292,2422,1051,7221,709.71,680.11,494289202253203184
Totaal eigen vermogen van aandeelhouders 41,31840,77040,73443,03445,80141,48340,63841,25138,81138,03737,44137,49736,43133,41732,35428,97728,05029,40311,4299,8769,2908,4286,6846,3176,1525,1435,4485,0025,1275,2324,2964,0723,5152,9022,885.72,764.32,7921,2141,053921760664
Totaal eigen vermogen 41,76440,90540,85043,39146,12041,72840,86841,74639,58038,97538,70338,51037,44234,20133,15729,00328,08929,40311,4299,8769,2908,4286,6846,3177,6526,6436,7486,0025,7275,2324,2964,0723,5152,9022,885.72,764.32,7921,2141,053921760664
Totaal passiva en aandeelhoudersvermogen 416,064409,877405,783444,438469,633381,508362,873371,758333,469393,780385,303374,516358,990325,266247,259212,224237,512197,656103,206102,11894,52992,39777,74081,02577,11474,75663,50359,96155,76553,72048,87945,54640,90939,42645,389.948,856.547,38823,06520,70918,48615,15612,797