Brown & Brown, Inc.

NYSE:BRO

110.35 (USD) • At close November 7, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 870.5671.8587.1480.5398.5344.3399.63257.491243.318206.896217.112184.045163.995161.752153.294166.124190.959172.35150.551128.843110.32283.12253.91333.18627.17223.05319.38716.49814.79913.28581.34.64.13.1
Afschrijvingen & Amortisatie 206185.8152.9134.8128.7109.3108.144107.666108.311103.83685.41778.94667.14764.08163.09759.91753.19947.80743.30631.05625.67321.28722.39613.15611.8099.3818.0517.4716.4876.304-6.9-4.5-3.7-3.5-2.4
Uitgestelde Inkomstenbelasting 12.542.833.615.912.314.9-102.18318.16322.6967.36932.24732.72330.32822.58727.85125.7130.32511.4810.6428.848.371.1910.199-0.505-0.430.2710.1990.966-2.191-1.1730.5-0.2-0.21-0.4
Aandelen Gebaseerde Vergoedingen 89.466.16159.74733.530.63116.05215.51319.36322.60315.86511.1946.8457.3587.3145.6675.4163.3372.625000000000000000
Verandering in Werkkapitaal -25.8-15.997.738.210175.211.033-24.54633.6160.94337.414-75.832-28.75255.326-30.38983.756-3.866-11.0589.734.604-3.606-19.806-0.6011.9883.0145.29612.4783.5283.519-7.4695.8-0.5-10.10.9-1.1
Vorderingen 599.5-828.8-92.4-120.4-79.9318.8-443.043-109.665-26.1031.05-40.729-11.312-20.57-2.5550000-84.058-57.8-20.708-73.621-20.084-19.8151.102-3.751.393-6.2870.2-1.9292.7-9.93.2-14.6-1.1
Voorraden 00-9.4-119.6-13.8-423.491377.54225.7275.898-67.03396.784-62.34514.699-11.324000018.76829.3149.21210.6070000000000000
Crediteuren 292.2124.3184.9266.6166.616364.17896.25834.74845.11366.80431.854-2.80728.246-1.819-5.9920.533-3.561157.40962.40417.10253.8159.20118.251-0.7366.9524.95911.9541.608-2.862-2.87.9-10.817.8-1.4
Overig Werkkapitaal -917.5688.614.611.628.116.89112.356-36.86619.07321.813-85.445-34.029-20.07440.959-28.5789.748-4.399-7.497-82.389-29.314-9.212-10.60710.2823.5522.6482.0946.126-2.1391.711-2.6785.91.5-2.5-2.31.4
Overige Niet-Contante Posten -143.1-69.215.7-7.5-9.3-9.7-5.280.332-11.60646.612-5.419-15.432-6.381-14.5390.374-1.071-30.944-0.781-2.478-5.7655.8027.516-5.099-3.069-1.385-2.094-6.1261.259-0.91.91913.897.46.62.7
Kasstroom uit Operationele Activiteiten 1,009.5881.4948721.6678.2567.5441.975375.158411.848385.019389.374220.315237.531296.052221.585341.753215.34225.214215.088170.203142.72593.31169.93844.07139.72836.31333.02728.62121.20810.65420.96.1-2.391.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -68.9-52.6-45-70.7-73.1-41.5-24.192-17.765-18.375-24.923-16.366-24.028-13.608-10.454-11.31-14.115-30.643-14.979-13.426-10.152-15.946-7.275-11.017-4.102-4.936-4.51-2.713-4.63-5.321-2.392-1.8-1.2-1.3-1.5-0.3
Netto Overnames -524.1-1,927.7-366.8-694.8-353-923.9-41.471-122.622-136-696.486-367.712-425.054-166.055-157.637-44.682-263.4-212.303-143.737-262.181-202.664-100.27-120.926-131.039-18.226-18.154-29.608-3.067-12.254-6.005-1.38200.800.20.2
Aankoop van Beleggingen -7.2-0.1-12.4-14.2-17.5-9.3-10.665-25.872-22.766-17.813-18.102-11.167-12.698-9.285-11.57-13.774-2.695-0.211-0.299-3.1420-0.111-3.006-0.073-0.124-1.146-0.253-0.881-1.208-0.187-0.1-0.7-3.4-2.2-4.9
Verkoop/verval van Beleggingen 13.27.410.8118.417.99.64418.8921.92818.27815.66210.65412.959.32710.8289.75621.7150.1190.8961.1070.1060.1225.6050.4940.6271.030.5571.1180.6422.346045.12.66
Overige Investeringsactiviteiten 112.660.316.79.621.654.0944.95710.57613.6315.88614.0953.6861.5581.3054.66.7131.3992.3626.334.9754.9231.6191.2830.6470.220.4520.9841.4691.284-1.8-5.4-1.3-1.3-1.9
Kasstroom uit Investeringsactiviteiten -587-1,912.7-396.7-759.1-413.6-951.8-62.59-142.412-144.637-707.313-380.632-435.5-175.725-166.491-55.429-276.933-217.213-157.409-272.648-208.521-111.135-123.267-137.838-20.624-21.94-34.014-5.024-15.663-10.423-0.331-3.7-2.5-0.9-2.2-0.9
Financieringsactiviteiten:
Schuldaflossingen -150.6-411.3-73.1-405-50-370-96.75-73.125-45.625-805-31.956-101.227-102.072-19.425-29.479-22.522-55.462-127.432-66.117-68.606-28.024-23.722-33.297-4.064-17.106-7.811-2.611-4.223-2.132-11.873-11-3.9-5.9-1.9-2.4
Uitgifte van Gewone Aandelen 39.837.634980.124.99919.517.42215.98315.8914.80812.44513.3058.66711.11910.14410.91411.3211.2749.7178.1077.136159.5792.8441.7461.6641.8451.04400.1061.7420.70.60.60.60.3
Terugkoop van Gewone Aandelen -0.1-122.9-132.4-96.4-69.604-91.3-128.639-18.908-163.75-75.02560.579291.037100014.3927.1826.3265-23,492.4340-2.334-10.14290.062-5.535-1.152-9.233-5.86-1.0540.5-0.0553.81.60-0.1-0.1
Uitgekeerde Dividenden -135-119.5-107.229-100.592-91.344-84.7-77.712-70.262-64.108-59.334-53.546-49.534-46.494-44.496-42.896-40.207-35.125-29.341-23.566-20.003-19.492-16.183-11.839-7.525-6.237-5.494-4.636-4.245-4.149-3.542-3-2-1.6-1.6-1.5
Overige Financieringsactiviteiten 59.12,341.5-70.6-31.731.732864.3-50.901-14.208-36.2461,513.941-13.133-4.88-8.586-0.8880.2410.1384.5640.60423,542.4342500-4.377-0.849-0.713-0.32312000.0550.0550.3-0.11041.8
Kasstroom uit Financieringsactiviteiten -186.71,725.4-349.3346.4-79.216337.8-336.58-160.52-293.839589.39-25.611148.701-48.485-53.69-47.6-24.497-48.383-79.895-29.966169.498-42.714105.15546.921-16.091-23.154-8.693-12.063-9.522-5.62-13.673-9.2-3.83.11-1.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 33.9-131.2-3.6000.008000000000000000000000000-26.4-7.7-8-8-0.1
Netto Kasstroomverandering 269.7562.9198.4308.9185.4-46.542.80572.226-26.628267.096-16.869-66.48413.32175.871118.55640.323-50.256-12.09-87.526131.18-11.12475.199-20.9797.356-5.366-6.39415.943.4365.165-3.35-18.4-7.9-8.1-0.2-1.8
Kaspositie aan het Einde van de Periode 2,302.92,033.21,470.31,271.9963777.6824.088515.646443.42470.048202.952219.821286.305272.984197.11378.55738.23488.49100.58188.10656.92691.24716.04831.31337.45942.17447.72631.78628.3522.99500000