Cintas Corporation

NASDAQ:CTAS

219.52 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 342.015124.14990.471493.64145.40296.645138.724169.266139.357417.073513.288352.273339.825438.106411.281129.74566.22435.3638.91443.19687.35732.23940.62873.72452.18215.812.714.29.16.78.414.28.85.56.430.118.926.933.7
Kortetermijnbeleggingen 000000022.21970.40516.08105.68087.22154.806120.393125.471120.053202.539266.232166.96425.4244.45836.50557.6472.30000000000000
Liquide middelen en kortetermijnbeleggingen 342.015124.14990.471493.64145.40296.645138.724191.485209.762433.154513.288357.953339.825525.326566.087250.138191.695155.413241.453309.428254.32157.65985.086110.229109.82288.112.714.29.16.78.414.28.85.56.430.118.926.933.7
Nettovorderingen 1,244.1821,152.9931,027.928923.992870.369917.595824.217780.328564.89497.066508.427505.151925.834856.499381.992693.125430.078408.87389.905326.896285.592278.147283.234244.45225.735202.1157.695.278.26956.348.140.735.331.82722.219.612.8
Voorraad 410.2011,518.5221,388.8561,291.9011,179.3091,118.722982.608913.92789.318760.216757.776737.192251.205249.658169.484202.351238.669231.741198216.412185.585228.41193.821214.349164.906138108.243.134.736.929.121.525.223.219.817.919.910.59.6
Overige vlottende activa 54.065142.795124.728133.776114.619103.31832.38330.13226.06524.03506.537496.75224.70469.294341.54315.744370.416344.931337.487305.45301.35305.721280.936242.172221.007206.3230.1203.5175.5128.8127.7103.36453.557.429.725.320.214.6
Totaal vlottende activa 2,050.4632,938.4592,631.9832,843.3092,309.6992,236.281,977.9321,954.4781,590.0351,735.8071,805.6811,624.8261,541.5681,700.7771,524.9441,244.7611,282.3361,156.7361,178.0081,166.5441,034.243877.544853.25819.67721.47634.5508.6356297.5241.4221.5187.1138.7117.5115.4104.786.377.270.7
Niet-vlottende activa:
Materiële vaste activa, netto 1,722.1211,574.941,493.6761,486.971,563.0321,430.6851,382.731,323.501994.237871.421855.702986.703944.305946.218894.522914.627974.575920.243863.783817.198785.31777.432778.402702.132642.507573.1367.1287.4252.6228192.5180.8173152.6111.382.964.652.337.3
Goodwill 3,212.4243,056.2013,042.9762,913.0692,870.022,842.4412,846.8882,782.3351,291.5931,195.6121,267.4111,517.561,485.3751,487.8821,356.9251,331.3881,315.5691,245.8771,136.175889.538805.441000000000000000000
Immateriële activa 321.902346.574391.638408.445451.529494.595545.768586.98883.71542.43455.67592.15376.822102.312103.445124.33152.757171.361210.282889.538805.441721.855678.5980000000000000000
Goodwill en immateriële activa 3,534.3263,402.7753,434.6143,321.5143,321.5493,337.0363,392.6563,369.3231,375.3081,238.0461,323.0861,609.7131,562.1971,590.1941,460.371,455.7181,468.3261,417.2381,346.457889.538805.441721.855678.5980000000000000000
Langetermijnbeleggingen 302.212247.191242.873274.616214.847192.346175.581164.788124.952329.692458.357101.52590.198-45.813-52.415-66.368-39.41-122.63-130.992-133.837-122.957000000000000000000
Belastingvorderingen 312.481282.519473.777386.647388.579438.179352.581469.328259.475226.938246.044210.483204.58145.81352.41566.36839.41122.63130.992133.837122.957000000000000000000
Overige niet-vlottende activa 1,559.695100.472-129.667-76.233-127.821-197.864-323.266-437.361-239.614-209.444-226.418-187.618-181.943114.75189.980.33383.36476.26336.989186.464185.303206.115208.984230.422217.365200.2142.1118.4118.7126.887.686.349.635.727.5262932.322.8
Totaal niet-vlottende activa 7,430.8355,607.8975,515.2735,393.5145,360.1865,200.3824,980.2824,889.5792,514.3582,456.6532,656.7712,720.8062,619.3382,651.1632,444.7922,450.6782,526.2652,413.7442,247.2291,893.21,776.0541,705.4021,665.984932.554859.872773.3509.2405.8371.3354.8280.1267.1222.6188.3138.8108.993.684.660.1
Totaal activa 9,481.2988,546.3568,147.2568,236.8237,669.8857,436.6626,958.2146,844.0574,104.3934,192.464,462.4524,345.6324,160.9064,351.943,969.7363,695.4393,808.6013,570.483,425.2373,059.7442,810.2972,582.9462,519.2341,752.2241,581.3421,407.81,017.8761.8668.8596.2501.6454.2361.3305.8254.2213.6179.9161.8130.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 339.166302.292251.504230.786230.995226.02215.074177.051114.514109.607150.07121.02994.84110.27971.74769.96594.75564.62271.63569.29653.45153.90960.39342.49550.97646.841.820.719.417.318.820.61411.310.50000
Kortlopende schulden 495.32243.71355.446942.9243.031312.2642,535.309362.92501,3000.5038.187225.6361.3350.6090.5981.074.1414.2887.310.52328.25118.36920.60516.60416.48.16.76.61015.74.56.910.16.53.94.86.94.2
Belastingschulden 18.61812.4721.70822.28227.0997.7168.1488.0575.7836.0645.967.77622.18833.54215.691-25.51200000000000000000000000
Uitgestelde opbrengsten 18.6180473.777000-2,527.161579.4445.783-789.25313.4917.776000-25.512258.53315.691292.211247.021225.072206.152222.081152.663000000000000000
Overige kortlopende verplichtingen 975.413884.06352.163760.379611.169589.449552.63511.457445.2580.704466.067419.264350.415322.525311.326246.90212.88718.58443.69432.86436.6416.52711.79135.14167.812148.9109.188.776.667.75740.1313229.83428.323.318
Totaal kortlopende verplichtingen 1,828.5191,230.0621,432.891,934.085885.1951,127.733775.8571,130.852815.555621.058630.131556.256670.891434.139383.682291.953367.242403.038411.828356.481325.686304.839312.634250.903235.392212.1159116.1102.69591.565.251.953.446.837.933.130.222.2
Langlopende verplichtingen:
Langetermijnschulden 2,025.9342,624.6832,612.9961,773.6072,662.42,537.5072,535.3092,770.6241,0501,3001,300.4771,300.9791,059.1661,284.79785.444786.058942.736877.074794.454465.291473.685534.763703.25220.94254.378283.6180111.5117.9120.384.2103.667.858.943.636.948.651.141.2
Uitgestelde opbrengsten niet-vlottend 146.8240000-2,437.402000000000000-14.713-81.21-60.611000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 787.993498.356473.777386.647388.579438.179352.581469.328259.475226.938246.044210.483204.581196.321150.56149.032124.184122.63130.992133.837122.95797.01279.59149.06648.69640.724.321.918.716.616.320.515.77.96.453.82.82.4
Overige niet-vlottende verplichtingen 375.656329.269319.397454.637498.5092,767.924277.941170.46136.704112.00992.94276.42287.133134.041116.021100.987120.308014.71381.2160.611000000-0.10.10-0.10000-0.1000.2
Totaal niet-vlottende verplichtingen 3,336.4073,452.3083,406.172,614.8913,549.4883,306.2083,165.8313,410.4121,446.1791,638.9471,639.4631,587.8841,350.881,615.1521,052.0251,036.0771,187.228999.704925.446599.128596.642631.775782.841270.006303.074324.3204.3133.3136.7136.9100.4124.183.566.85041.852.453.943.8
Totaal passiva 5,164.9264,682.374,839.064,548.9764,434.6834,433.9413,941.6884,541.2642,261.7342,260.0052,269.5942,144.142,021.7712,049.2911,435.7071,328.031,554.471,402.7421,337.274955.609922.328936.6141,095.475520.909538.466536.4363.3249.4239.3231.9191.9189.3135.4120.296.879.785.584.166
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 2,305.3012,031.5421,771.9171,417.3431,102.689840.328618.464485.068409.682329.248251.753186.332148.255000129.18200114.17194.56976.12465.50862.40954.738500000000000000
Ingehouden winsten 10,617.9559,597.3158,719.1637,877.0157,296.5096,691.2365,837.8275,170.834,805.8674,227.623,998.8933,717.7713,482.0733,255.2563,080.0792,938.4192,784.3022,533.4592,304.282,035.9921,790.5471,568.0711,365.1361,174.33992.45825.3610468.4386.7323.3269.9225.7187.7148.1120.597.277.561.348.6
Overige gereserveerde algehele resultaten 91.20177.778107.91730.888-153.38-39.15216.343-3.029-24.874-8.47128.42838.12336.29558.80736.13325.29952.2837.12142.38412.1762.8532.137-6.885-5.424-4.312-3.8-194.7-132.8-113.9-105.4-95.9-82.2-67.5-44.7-33.7-27.9-22.8-17.6-12.8
Overige totale aandeelhoudersvermogen -8,698.085-7,842.649-7,290.801-5,637.399-5,010.616-4,489.691-3,456.108-3,350.076-3,348.016-2,615.942-2,086.216-1,740.734-1,527.488-1,011.414-582.183-596.309-711.633-402.842-258.701-58.20400000-0.1239.2176.8156.7146.4135.7121.4105.782.270.664.639.73429
Totaal eigen vermogen van aandeelhouders 4,316.3723,863.9863,308.1963,687.8473,235.2023,002.7213,016.5262,302.7931,842.6591,932.4552,192.8582,201.4922,139.1352,302.6492,534.0292,367.4092,254.1312,167.7382,087.9632,104.1351,887.9691,646.3321,423.7591,231.3151,042.876871.4654.5512.4429.5364.3309.7264.9225.9185.6157.4133.994.477.764.8
Totaal eigen vermogen 4,316.3723,863.9863,308.1963,687.8473,235.2023,002.7213,016.5262,302.7931,842.6591,932.4552,192.8582,201.4922,139.1352,302.6492,534.0292,367.4092,254.1312,167.7382,087.9632,104.1351,887.9691,646.3321,423.7591,231.3151,042.876871.4654.5512.4429.5364.3309.7264.9225.9185.6157.4133.994.477.764.8
Totaal passiva en aandeelhoudersvermogen 9,481.2988,546.3568,147.2568,236.8237,669.8857,436.6626,958.2146,844.0574,104.3934,192.464,462.4524,345.6324,160.9064,351.943,969.7363,695.4393,808.6013,570.483,425.2373,059.7442,810.2972,582.9462,519.2341,752.2241,581.3421,407.81,017.8761.8668.8596.2501.6454.2361.3305.8254.2213.6179.9161.8130.8