Bristol-Myers Squibb Company

NYSE:BMY

49.74 (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 8,0406,3457,014-8,9953,4604,9479754,5071,6312,0292,5802,5015,2604,51311,8625,2472,1651,5853,0002,3883,1062,0665,2454,7114,1673,6363,2052,8501,8121,8421,9591,6032,0561,748747
Afschrijvingen & Amortisatie 9,76010,27610,68610,3801,746637789382376467763681801744707816892927929909789735781746678625591519448328308295246244196
Uitgestelde Inkomstenbelasting -3,288-2,738-1,393983-924861,010-204-347-542-491-1,2304154221631,430-416-236-812286249000000000-27-196-31850
Aandelen Gebaseerde Vergoedingen 51845758377944122119920523521319115416119318318113311200000000000000000
Verandering in Werkkapitaal -1,914-2,229-1,2539833,0651761,588-1,360-1,028201488-339-127-16642117-158-640-904-608128-3,150375-795-296-445-1,353-676-987-637-209-549-474-363-624
Vorderingen -995-663-2,117-2,9511,659-267-431-803-942-252-504648-270227227-365-461210539-556-554904-359-49400000000000
Voorraden -751-69132,672463-216-29-15297-254-45-103-19315682130-5478-370-133127206-1075-317-139-288-227-50-36129-163-114-168-123
Crediteuren 198109245188229-59320104-919-44412-232593315472253506-460-378248287-311-17025600000000000
Overig Werkkapitaal -366-1,6066061,0747147181,728-509736751625-652-257-864-73999-149-468-695-167268-3,949914-63221-306-1,065-449-937-601-338-386-360-195-501
Overige Niet-Contante Posten 7449555709,922279-127714-680965780145,174-1,670-1,215-8,892-4,084537335219503-6031,306-999-10-7930433-521,22676849-153838871
Kasstroom uit Operationele Activiteiten 13,86013,06616,20714,0528,0675,9405,2752,8501,8323,1483,5456,9414,8404,4914,0653,7073,1532,0831,8363,1763,5129575,4024,6524,4704,1202,4762,6412,4992,3012,5802,0281,8351,7521,190
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,209-1,118-973-753-836-951-1,055-1,215-820-526-537-548-367-424-730-941-843-793-738-809-990-997-1,023-589-709-788-767-601-513-573-570-647-628-513-555
Netto Overnames -260-2,981-862-12,214-8,782314975-4033,3669-7,462-211-829-2,232-191-159507843214-18-275-2,405-196-266-93-254-316-350-667981,150000
Aankoop van Beleggingen -1,774-3,592-5,478-4,172-3,961-2,305-5,437-3,089-3,143-5,719-1,859-3,607-6,819-5,823-3,489-422-19,878754-30-779-23,918-381-2,582-10-4-256-363-379-80-482-1,049-269-2,865-1,330-8,679
Verkoop/verval van Beleggingen 9486,6296,7756,2803,8092,3796,4124,8092,7944,0951,8154,8905,9603,1972,0751,56720,6347621,0433522,4483831,4124551309530406349359931694,0901,7337,639
Overige Investeringsactiviteiten 834,3422,0452,97815,7001,3231,7153,0543591,961-35-6,179-76267-45,06644-1,02473-28359-109-266766169482322173-37263-6927-26-54-35
Kasstroom uit Investeringsactiviteiten -2,295-1,062-538-10,859-9,770-874-661,480-1,5721,216-572-6,727-1,437-3,812-4,3805,079-2022061,191-1,622-2,419-1,379-4,86416-759-346-532-717-631-1,424-597430571-164-1,630
Financieringsactiviteiten:
Schuldaflossingen -456-11,431-6,022-2,750-9,256-5-1,224-15-1,957-676-597-2,108-79-969-238-1,9170000000000000000000
Uitgifte van Gewone Aandelen 0006,67826,909-5432,21518126628856446360125282753331701661414413825135281401172067124383746145197
Terugkoop van Gewone Aandelen -5,155-8,001-6,287-1,546-7,300-320-2,469-2318190-433-2,403-1,221-5761,6831,58000000-164-1,589-2,338-1,419-1,561-1,162-852-244-701-419-228-447-562-51
Uitgekeerde Dividenden -4,744-4,634-4,396-4,075-2,679-2,613-2,577-2,547-2,477-2,398-2,309-2,286-2,254-2,202-2,483-2,461-2,213-2,199-2,186-2,174-2,169-2,168-2,137-1,930-1,707-1,551-1,515-1,507-1,495-1,485-1,485-1,428-1,249-1,116-722
Overige Financieringsactiviteiten 277,104481542-53-54-22167-26371,7072,001296152194211-1,333-1,322-1,6171,5701,0731,0775,243-241-80-8409268-191523166-1297339-432
Kasstroom uit Financieringsactiviteiten -9,416-16,962-16,224-1,1517,621-3,535-4,077-2,445-3,351-2,437-1,068-4,333-2,657-3,343-17-2,582-3,213-3,351-3,637-463-1,052-1,1171,768-4,157-3,198-2,980-2,151-1,885-1,859-1,639-1,700-1,748-1,577-1,494-1,008
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 45-33-102111-9-4152-33-955825-1-31439-294530-2040361712-49-37-6-18-3-6-171-810-8-8
Netto Kasstroomverandering 2,194-4,991-6572,1535,9091,4901,1841,852-3,1861,9851,930-4,120743-2,650-2936,175-217-1,032-6301,13177-1,5222,318462476788-225363-77928470283986-1,456
Kaspositie aan het Einde van de Periode 11,5199,32514,31614,97312,8206,9115,4214,2372,3855,5713,5861,6565,7765,0337,6837,9761,8012,0183,0503,6802,4443,9785,5003,1822,7202,2441,4561,6811,6451,6422,4212,1371,435596510