Cardinal Health, Inc.

NYSE:CAH

149.56 (USD) • At close September 5, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,569853331-933612-3,6931,3652591,2941,4311,2121,1633351,070966587758.2847.21,931.11,000.11,050.71,517.21,381.21,140.8857.4717.8481448.5334.8117.6142.535.133.625.217.412.8
Afschrijvingen & Amortisatie 7907106927237839131,0001,032717641451459397325313.3254.4399.4381.3322.1392.7409.7299.2265.8243.5280.6245.9233.564.351.332.521.2177.25.64.63.1
Uitgestelde Inkomstenbelasting 243-104-407496-961-83-1,01229187219262115812812069.526.911.7-5.754.7102.8215.2239.7149.1128.5132.490.132.921.548.5-11.4-6.62.804.1
Aandelen Gebaseerde Vergoedingen 244121960899082859611111096938579.599.5122.8122.3138.1237.30000000000000000
Verandering in Werkkapitaal -5231,5104571,1242896,061755907-1,267623452755-9-434-46875-357.4-121.5-436.3157999.1733.2-486.4-682.7-456.8-636.8-503.7-208.4-96.4-51.8-210-146.968.4-132.4-48.5-5.2
Vorderingen -833-996-950-1,526-90482-751-871-665-866-870925216-129-45721-713.6-296.1-783.1-895.3-15.9-411.7-413.7142.7-31.4-377.3-214.5-211.7-15.3-62.6-140.3-84.7-0.4-14.4-22.1-15
Voorraden -1,8161,115-412-1,071-1,584-409-551-1,211-673-1,179-779142-370-495-665477-431.2634.3217.4-356.171.6237.5-217.9-1,065.9-1,517.8-1,071.6-317.9-474.3-106.6-159.6-161.6-232.227.8-132.4-42.6-5.8
Crediteuren 2,7321,8242,8163,4282,325-1621,8642,5745642,8151,948-1964263191,356451768.1-848.2000000000000000000
Overig Werkkapitaal -606-433-9972934526,550193415-493-147153-116-281-129-280-7419.3388.5129.41,408.4943.4907.4145.2240.51,092.4812.128.7477.625.5170.491.91704114.416.215.6
Overige Niet-Contante Posten 746721,3082,201160-450-3971,49753789625890-28-46198617.9461.2-605.5671.8455.6-1922.242.641.437.529.723.48.6-12.427.331.33.953.12.9
Kasstroom uit Operationele Activiteiten 2,3973,7622,8443,1222,4291,9602,7222,7681,1842,9712,5402,5241,7271,1761,394.62,134.11,567.31,512.11,223.12,140.32,850.22,624.71,398983.9871.7638.2345.7143.139.2122.210.5-74.9106.5-93.8-23.417.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -547-511-481-387-400-375-328-384-387-465-300-249-195-263-291.3-255.8-533.4-376.1-357.4-443.2-571.7-410.2-423.2-285.4-341.2-307.8-467.4-114.7-75.2-73.1-43-11.3-5.3-8.9-10.9-3.8
Netto Overnames -5,250-1,190-10901-30-82-6,142-132-3,614-503-519-2,239-174-2,300-32-128.6-4.7-1,629.8-362.2-273.2-2,092.4-26.8-383.8-364.3-69.6-147.5-45.800000000
Aankoop van Beleggingen 0-5500-78-22-20-18-9-194-200-342-129-12-35-1560000-398.6-99.80000-7.7-15.6-14.2-3.4-163.7-169.6-115.2-330.4-100.7-69.1-2.9
Verkoop/verval van Beleggingen 20238429100478863653051862434771927162710132366.500000056.113.510.657.7218143.5187.2294.112052.72.2
Overige Investeringsactiviteiten 21883102763862313530003148-6-697.93,157.9-86.6-163.248.7106.318.372.160.257.96.123.5-35.2-18.81.10.1-16-26.60.1
Kasstroom uit Investeringsactiviteiten -5,605-1,849-454567-378493338-5,608-405-4,080-849-850-2,375-377-2,028127.1-542.9-726.41,537.2-1,187.2-877.4-2,437-343.7-650.9-633.4-287.3-409.6-112.2-17.9-54.2-8261.8-41.5-5.6-53.9-4.4
Financieringsactiviteiten:
Schuldaflossingen 3,224356-579-885-570-1,401-1,102-1,0014,864201,439112980258312-1,485.5-304.2296.4630.5299.8-1,208.7512.8326.933332.6372.7-102.2-26.9-368.5112.9-29.826.2-4.191.577.1-11.5
Uitgifte van Gewone Aandelen 00000000007222712142634039.2227.9552.6240.8110.5216.7197.3140252.197.562.159.2108.268.975.85.32.30.551.61.2
Terugkoop van Gewone Aandelen -765-750-2,000-1,000-200-350-600-550-600-651-1,036-673-450-450-270-2300-1,181.6-3,662-1,499.9-500.3-1,500-1,191.7-308.3-139.4-341.4-47.8-155-37.7-1.8-6.3-20.7-0.7-0.20-1
Uitgekeerde Dividenden -494-499-525-559-573-569-577-581-577-512-460-415-353-300-274.2-253.1-200.4-173.1-144.4-101.8-51.7-52.3-44.8-45-36.6-28-56.7-11.5-9.1-7.6-4.9-4-1.6-1.4-10
Overige Financieringsactiviteiten -134653-1926120-14-144594117266-23-4-23.41,201.1-2.827.2-15.528.9-6.97.10-4.80-130.5-19-40.8-41.7-17.21802-45.20-0.7
Kasstroom uit Financieringsactiviteiten 1,952-847-3,051-2,463-1,317-2,200-2,293-2,2763,746-1,13960-710275-454-192.6-727.5-468.2-803.2-2,638.8-1,032.2-1,657.1-815.7-712.3114.9108.7-31.7-141.831-82.5155.257.26.8-2.145.2127.7-12
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -3-9-884-98-1314-2-120000000000000000-2.4000000000
Netto Kasstroomverandering -1,2591,057-6691,310636240768-5,1164,523-2,2601,751964-373345-8261,533.7556.2-17.5121.5-79.1315.7-628342447.9347319.2-208.161.9-61.2223.2-14.3-6.362.9-54.250.41.3
Kaspositie aan het Einde van de Periode 3,8745,1334,0764,7173,4072,7712,5311,7636,8792,3564,6162,8651,9012,2741,929.32,755.31,847.51,291.31,308.81,320.91,411.71,0961,7241,382934.1504.6165.2305243.1287.840.654.966.63.757.97.5