Bruker Corporation

NASDAQ:BRKR

45.97 (USD) • At close March 14, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 113.8427.2298.5280.6161.419818180.3154.5104.959.681.878.29496.88164.931.52918.4813.646-7.831-17.554-6.23.6372.251.25
Afschrijvingen & Amortisatie 183.8114.98889.180.475.664.963.954.353.359.761.359.1336.129.729.912.62813.2898.6089.79316.8738.1956.044.1453.487
Uitgestelde Inkomstenbelasting -71.6-24.4-16.8-5.8-25.4-5.4-15.128.2-26.9-29.4-9.214-11.7-4.8-3.6-2.9-2.3-2.0291.412-2.1860.2113.369-1.6010.249-3.340
Aandelen Gebaseerde Vergoedingen 25.32427.717.2169.611.3119.489.46.67.87.96.96.34.52.1611.4740.0240.002-0.1-0.0390.23800
Verandering in Werkkapitaal 0-87.8-143.5-125.276-74.5-42.2-40.6-84.646.3-39.3-52.6-58.3-102-6.436.510.2-17.7928.57531.906-6.505-11.449-22.256-21.283-4.405-0.396
Vorderingen 0-0.9-67.9-95.340.8-5-30.5-55.5-8.445-14.5-19.31.6-52.8-27.3-9.433-28.082-5.779-3.0974.563-10.614-8.96-5.90800
Voorraden 0-125-140.1-67-87.9-60.2-35.5-6.6-43.2-5.44.65.7-49.5-111.7-6821.78-26.217-11.6754.8438.298-1.27-14.857-15.287-13.028-10.265
Crediteuren 023.128.861.8-0.715.96.233.7-19.612.6974.69.26.55.7-39.310.92911.1720.748-4.752-0.4133.03200
Overig Werkkapitaal 01535.7-24.7123.8-25.217.6-12.2-13.4-5.9-38.4-46-1553.382.418.58.525.57814.85729.412-14.616-1.5651.974-3.128.6239.869
Overige Niet-Contante Posten 0-103.88.126.524.810.139.811.624.146.134.133.95889.626.3-0.8-0.31.712-5.5380.1953.4412.77610.511-0.3561.1481.097
Kasstroom uit Operationele Activiteiten 251.3350.1262282.4333.2213.4239.7154.4130.8229.2114.3145133.187.7156.1149.8106.928.20937.69342.193-0.889-6.085-11.39-11.475-0.2025.437
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -115.3-106.9-119-92-98.2-73-49.2-43.7-37.1-34.2-33.8-50.3-72.8-54.4-31.9-16.3-47.4-16.079-7.623-3.212-7.264-5.491-15.916-17.595-5.581-4.236
Netto Overnames -1,599.6-226.6-179.1-65-59.2-90-191.6-66.3-24.3-28.421.4-11.1-23.7-14.3-269.8-1.9-11.4-4.152-26.449-5.605-5.499-5.499-0.59300.022-0.2
Aankoop van Beleggingen 0-24.8-61.3-148.5-151.2-6.4-118.5-118.5-126.5-159.4-211.600000-0.100-1.275-5.392-14.559-0.785-3.235-92.3940
Verkoop/verval van Beleggingen 021.2106.2108.2114.70117186.8165118.719000009.8046.46011.58815.1147.76414.43800
Overige Investeringsactiviteiten -42.411.113.94.90.211118.911.51.10.93.11.43.302.701.4-0.304-0.089-0.3575.05300-112.4250
Kasstroom uit Investeringsactiviteiten -1,757.3-326-239.3-192.4-193.7-158.4-123.4-30.2-21.8-102.4-201.9-60-93.2-68.7-299-18.2-47.7-20.53512.299-10.449-1.514-10.43930.47-7.392-85.528-4.436
Financieringsactiviteiten:
Schuldaflossingen 875.9-21.5-110.7489.7-8.40-93.53.1145.9-88.1-0.817.933.31.4163.4-84.7173-10.478.053-11.352-8.3472.65714.203-10.529-4.8460.358
Uitgifte van Gewone Aandelen 4039.52.873.310.99.42011.510.87.98.24.53.361.53.719.5721.5830.37714.42208.19475.105109.6880
Terugkoop van Gewone Aandelen 0-152.3-263.1-153.3-123.2-142.30-152.2-160-9000000000000-0.012-3.088000
Uitgekeerde Dividenden -30.2-29.4-29.8-24.2-24.6-25-25.1-25.4-25.800000-0.10-23.4000000000
Overige Financieringsactiviteiten -18.90.3-14.5-0.5-8.7467.3-3.2-4.51.2-0.7-0.40.4-3.4-1.4-1-0.9-25.8-0.028-74.02100-10.786-0.319000
Kasstroom uit Financieringsactiviteiten 1,229.8-193.4-415.2318.7-161.6300-112.4-159-27.2-1686.726.534.43.3168.3-84.1-235.19.102-64.385-7.1856.774-8.1413.5326.395104.8420.358
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -28.712.2-30.5-22.525.70.6-6.517.8-6.5-11.2-38.316.6-9.7-6.7-2.1-6.69.73.9533.908-3.9472.8342.4961.167-0.8820.18-0.051
Netto Kasstroomverandering -304.9-157.1-423386.23.6355.6-2.6-1775.3-52.4-119.2128.164.615.623.340.9-166.220.729-10.48520.6127.205-22.16923.779-13.35419.2921.308
Kaspositie aan het Einde van de Periode 186.7491.6648.71,071.7685.5681.9326.3328.9342.4267.1319.5438.7310.6246230.4207.1166.272.87652.14753.15932.54762.64232.168.38121.7352.443