Curtiss-Wright Corporation

NYSE:CW

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 406.867256.974171.004198.248391.033276.066475.12553.848288.697450.116175.294112.023194.38768.11965.0160.70566.52124.51759.02141.03898.67247.71725.4958.6929.55.86.96.38.94.220.328.13.414.32
Kortetermijnbeleggingen 0000000000000000000000.3341.65862.76625.60000000000
Liquide middelen en kortetermijnbeleggingen 406.867256.974171.004198.248391.033276.066475.12553.848288.697450.116175.294112.023194.38768.11965.0160.70566.52124.51759.02141.03898.67248.04767.15371.45835.15.86.96.38.94.220.328.13.414.32
Nettovorderingen 732.678724.603647.148588.718632.194593.755494.923463.062566.289495.48603.592578.313556.026461.632404.539395.659392.918284.774244.689214.084143.362142.886.35467.81570.760.941.637.736.332.527.327.332.736.629.9
Voorraad 510.033483.113411.567428.879424.835423.426378.866366.974379.591388.67452.087397.471320.633281.103285.608281.508241.728161.528146.297115.97997.8880.16657.11550.00260.65449.74729.124.922.523.72935.636.1
Overige vlottende activa 67.50252.62367.10157.39581.72950.71952.95130.92740.30645.15158.6637.19441.81340.60582.34426.83326.80719.34111.61512.4610.9798.8335.7712.7971477.973.266.879.382.766.14549.26.6169.8
Totaal vlottende activa 1,717.081,517.3131,307.8081,300.8241,529.7911,343.9661,401.861,414.8111,316.621,571.0751,337.2831,175.7611,167.134900.027837.501802.019758.181622.645490.466409.254374.523301.686225.957202.072180.4198.6171.4157.8153.6144.3136.2124.1114.393.1237.8
Niet-vlottende activa:
Materiële vaste activa, netto 474.231496.563503.644529.098551.083374.66390.235388.903413.644458.919515.718489.593443.555397.28401.149364.032329.657296.652274.821265.243238.139219.049104.52190.45394.674.565.96456.360.471.479.688.694.394.7
Goodwill 1,558.8261,544.6351,463.0261,455.1371,166.681,088.0321,096.329951.057972.606998.5061,110.4291,013.3759.442693.572648.452608.898570.419411.101388.1580000000000000000
Immateriële activa 557.612620.897538.077609.63479.907429.567329.668271.461310.763349.227471.379419.021261.448240.197242.506234.596240.842158.08546.425504.682268.326203.08390.91447.54350.430.7000000000
Goodwill en immateriële activa 2,116.4382,165.5322,001.1032,064.7671,646.5871,517.5991,425.9971,222.5181,283.3691,347.7331,581.8081,432.3211,020.89933.769890.958843.494811.261569.181546.425504.682268.326203.08390.91447.54350.430.7000000000
Langetermijnbeleggingen 00000000.4-41.737-44.311-47.650.67700-1.994-37.314-30.208-32.485-28.8440000000000000000
Belastingvorderingen 0000000-0.441.73744.31147.651.70912.1371.0331.99437.31430.20832.48528.8440000000000000000
Overige niet-vlottende activa 313.22270.194290.99126.64536.819.1618.22911.54915.74521.78423.46514.5279.1219.90912.43332.48586.461103.67888.57399.26192.67789.10679.03669.34861.748.947.445.436.33429.335.230.342.320.1
Totaal niet-vlottende activa 2,903.8892,932.2892,795.7372,720.512,234.471,911.4191,834.4611,622.971,712.7581,828.4362,120.9911,938.8271,485.7031,341.9911,304.541,240.0111,227.379969.511909.819869.186599.142511.238274.471207.344206.7154.1113.3109.492.694.4100.7114.8118.9136.6114.8
Totaal activa 4,620.9694,449.6024,103.5454,021.3343,764.2613,255.3853,236.3213,037.7813,029.3783,399.5113,458.2743,114.5882,652.8372,242.0182,142.0412,042.031,985.561,592.1561,400.2851,278.44973.665812.924500.428409.416387.1352.7284.7267.2246.2238.7236.9238.9233.2229.7352.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 243.833266.525211.64201.237222232.983185.176177.911163.286152.266186.941157.825150.281133.18129.88140.954137.40196.02380.4665.36443.77641.18819.36213.76613.313.49.913.16.35.53.84.35.96.66.7
Kortlopende schulden 30.629202.525.38910026.7730.2430.15150.6681.2591.0691.334128.2252.5022.60280.9813.2490.9235.8740.8851.630.99732.83705.347420.50005.40.12.5530
Belastingschulden 10.35238.1873.2356.6337.675.8114.56418.2747.95622.4720.78910.9024.1613.1114.2128.21313.2623.00322.8550000000000000000
Uitgestelde opbrengsten 303.872242.483260.157253.411276.115236.508214.891170.143181.671176.693164.343171.624200.268146.77167.683138.753105.42157.30574.25226.57544.93832.3210000000000000
Overige kortlopende verplichtingen 228.21259.931237.681255.729219.843217.594190.78176.54178.971241.965181.975182.074152.333145.387145.775168.728154.87132.92365.906103.52646.17258.10356.73433.1838.633.928.729.326.825.139.63132.33329.3
Totaal kortlopende verplichtingen 806.544971.439734.867810.377744.731687.328590.997675.262525.187571.993534.593639.748505.384427.939524.319451.684398.615292.125221.503197.095135.883164.44976.09652.29355.967.838.642.433.13643.537.843.242.636
Langlopende verplichtingen:
Langetermijnschulden 1,050.3621,184.1751,177.7621,091.361905.763762.313813.989815.63953.083953.279958.604751.99583.928394.042384.112513.46510.981359364.017340.86224.151119.04121.36124.7334.220.210.310.310.3914.416.322.327.328.4
Uitgestelde opbrengsten niet-vlottend 118.6110104.985113.767153.661117.004135.589121.175117.74241.598154.402278.952232.794166.591120.9300000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 132.319123.001147.349115.00780.15947.12149.3649.72291.11551.554123.64450.4524.9826.81525.54926.8562.41657.05553.5740.04321.7986.60526.04321.68914.19.78.88.77.46.46.49.56.57.50
Overige niet-vlottende verplichtingen 184.72178.868112.092103.248105.575110.838118.58684.80186.83102.654134.32680.85676.71266.52860.374183.27498.763121.902122.975124.828112.952111.60126.97420.4824.525.422.122.423.228.528.420.121.129.118.8
Totaal niet-vlottende verplichtingen 1,486.0121,486.0441,542.1881,423.3831,245.1581,037.2761,117.5241,071.3281,248.7681,349.0851,370.9761,162.248918.414653.976590.965723.584672.16537.957540.562505.731358.901237.24774.37866.89972.855.341.241.440.943.949.245.949.963.947.2
Totaal passiva 2,292.5562,457.4832,277.0552,233.761,989.8891,724.6041,708.5211,746.591,773.9551,921.0781,905.5691,801.9961,423.7981,081.9151,115.2841,175.2681,070.775830.082762.065702.826494.784401.696150.474119.192128.7123.179.883.87479.992.783.793.1106.583.2
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000000
Gewone aandelen 49.18749.18749.18749.18749.18749.18749.18749.18749.1949.1949.1949.1948.87948.55848.21447.90347.71547.53325.49325.41125.376151515150000000000
Ingehouden winsten 3,487.7513,174.3962,908.8272,670.3282,497.1112,191.4711,944.3241,754.9071,590.6451,469.3061,380.9811,261.3771,187.9891,072.459980.59899.928807.413716.03667.892601.07543.67508.298469.303411.866376406318.5299.7288.7275.6261.4272255.4239.2389.4
Overige gereserveerde algehele resultaten -213.223-258.916-190.465-310.856-325.274-288.447-216.84-291.756-225.928-128.41125.259-55.508-65.131-2.813-19.605-72.55193.32755.80620.64336.76322.5796.422-6.909-5.648-2.7-162.7-153.7-146.3-141.8-14.3-137.4-129.5-123.3-114.4-103.4
Overige totale aandeelhoudersvermogen -995.302-972.548-941.059-621.085-446.652-421.43-248.871-221.147-158.48488.34897.27557.53357.30241.89917.558-8.518-33.67-57.295-75.808-87.63-112.744-118.492-127.44-130.994-129.9-13.740.13025.3-102.520.212.78-1.6-16.6
Totaal eigen vermogen van aandeelhouders 2,328.4131,992.1191,826.491,787.5741,774.3721,530.7811,527.81,291.1911,255.4231,478.4331,552.7051,312.5921,229.0391,160.1031,026.757866.762914.785762.074638.22575.614478.881411.228349.954290.224258.4229.6204.9183.4172.2158.8144.2155.2140.1123.2269.4
Totaal eigen vermogen 2,328.4131,992.1191,826.491,787.5741,774.3721,530.7811,527.81,291.1911,255.4231,478.4331,552.7051,312.5921,229.0391,160.1031,026.757866.762914.785762.074638.22575.614478.881411.228349.954290.224258.4229.6204.9183.4172.2158.8144.2155.2140.1123.2269.4
Totaal passiva en aandeelhoudersvermogen 4,620.9694,449.6024,103.5454,021.3343,764.2613,255.3853,236.3213,037.7813,029.3783,399.5113,458.2743,114.5882,652.8372,242.0182,142.0412,042.031,985.561,592.1561,400.2851,278.44973.665812.924500.428409.416387.1352.7284.7267.2246.2238.7236.9238.9233.2229.7352.6