Donaldson Company, Inc.

NYSE:DCI

68.02 (USD) • At close December 20, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 414358.8332.8286.9257267.2180.3232.8190.8208.111260.224247.377264.301225.291166.163131.907171.953150.717132.307110.554106.31795.31486.88375.54870.23362.457.150.643.438.531.928.225.82421
Afschrijvingen & Amortisatie 98.492.393.895.387.681.176.775.274.974.29867.16364.2961.16560.49159.23258.59756.73249.56644.744.28441.55537.55731.75138.57734.32627.725.321.521.720.516.414.81412.210.9
Uitgestelde Inkomstenbelasting -24.3-15.3-1.4-5.92.710.27-10.6-3.3-5.611-7.7628.347-10.316-9.8733.025-4.726-5.012-4.6286.8682.957-1.5980.637-5.2667.093-0.4490.54.21-5.7-0.2-2.80.7-0.4-2.2-1.6
Aandelen Gebaseerde Vergoedingen 2220.420.414.215.21516.79.17.310.69411.649.14810.5539.2348.2531.99,312000000000000000000
Verandering in Werkkapitaal -16.682-203.7-6.13.3-18.912.54.17.7-91.843-12.2072.49-45.609-26.469-23.11692.901-49.994-62.202-4.875-18.05-27.87115.29643.835-24.835-18.329.1-39.8-26.611.7-11.3-14.82.8-5.7-216.4
Vorderingen -39.430.1-100.8-92.777.11.4-41.7-31.88.5-20.641-44.8513.705-17.877-62.274-79.308116.983-29,779-31,418-12.147-17.349-37.2734.3740000000000000
Voorraden -65.699.8-147.8-56.311.9-5.5-43.8-42.429.1-26.232-19.27320.142-4.149-52.999-25.82666.145-49.4-36.4690.587-6.745-20.7345.79513.6082.816-26.22721.4-20-14.5-2-9.8-10-4.3-3.46.12.3
Crediteuren 80.3-3951.1151.8-74-3.16.565.5-30.7-17.17559.686-34.852-6.20581.57185.988-78.73833,9404,84426.6493.957000000000000000
Overig Werkkapitaal 8.1-8.9-6.2-8.9-11.7-11.791.512.80.8-27.795-7.76913.495-17.3787.233-3.97-11.489-4,161.59426,548.267-19.9642.08730.133-24.87330.227-27.6517.907-12.3-19.8-12.113.7-1.5-4.87.1-2.3-8.114.1
Overige Niet-Contante Posten -16.310.917.521.2-8.8-30.3-0.38.717.194-1.219-15.729-20.382-12.619-10.552-3.652-9,312.145-2.476-8.1112.843-0.351-2.086-2.891-13.5842.5280.7-10.78.16.20.11.2-0.1-0.83.21.6
Kasstroom uit Operationele Activiteiten 492.5544.5252.8401.9387345.8262.9310.3286.1212.843317.839315.923259.712246.055203.005276.927173.534117.045156.674142.588118.052146.718154.31282.79988.318100.436.154.676.952.931.442.63134.349.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -85.6-118.1-85.1-58.3-122.4-150.4-95.9-63.5-72.9-93.566-96.815-94.337-77.17-59.851-42.659-45.569-72.152-77.44-81.272-54.979-47.738-47.748-40.529-38.924-36.417-29.5-55.6-47.3-39.3-25.3-24.6-15-15.5-16.2-16.1
Netto Overnames -2-209.2-68.90.7-6.5-960.5-32.2-12.9-105.636-0.395-0.55803.493-0.25-74.318-2.377-40.615-4.56-13.362-4.397-1.577-68.349000000000000
Aankoop van Beleggingen 000000000-27.039-108.793-99.339-99.2980-0.25-74.3180000000000000000000
Verkoop/verval van Beleggingen 0000000028114.51481.48697.36500-0.49-0.5110000000000000000000
Overige Investeringsactiviteiten 0.70.40.4-0.720.31.62.42.2-0.0010.3950.5584,2754.2750.7474.8291.330.8573.6884.7814.70814.45500-88.22-0.31.7-19.9-1.5-3.9-2.9-3.4-6.6-0.3-0.2
Kasstroom uit Investeringsactiviteiten -86.9-327.3-154-58.3-128.9-246.4-95.4-95.7-55.6-111.728-124.122-96.311-176.468-56.358-42.909-119.887-73.199-117.198-82.144-63.56-47.427-34.87-108.878-38.924-124.637-29.8-53.9-67.2-40.8-29.2-27.5-18.4-22.1-16.5-16.3
Financieringsactiviteiten:
Schuldaflossingen -114.80155.4-131.1-17.7110.2-68.747.58.2148.6218.5-88.3150.51-43.18215.736-30.96929.701100.3-34.86387.9733.322-53.1894.528-16.09167.55810.150.923.7-8.7-1.75.7-5.3-1.8-7.6-0.5
Uitgifte van Gewone Aandelen 00000000000000009.3087.3464.7742.7033.298000.5250.3261.62.61.80.13.2000.40.80.5
Terugkoop van Gewone Aandelen -162.7-141.8-170.6-142.2-94.3-129.2-122-140.4-84.3-256.3-279.4-102.572-130.233-108.929-66.696-32.773-92.202-76.898-118.909-116.268-29.765-24.874-22.605-10.297-35.923-44.5-33.3-24.9-23.1-14.7-17.6-13.1-9.7-13.50
Uitgekeerde Dividenden -122.8-114.4-110.1-107.2-106.4-99.7-94.7-92.4-91.2-91.22-83.07-60.32-47.684-41.013-36.242-35.166-33.003-28.806-26.443-19.757-17.779-15.263-13.713-13.092-12.384-10.8-9.6-8.8-7.7-7.4-6.7-5.7-5.2-4.2-3.8
Overige Financieringsactiviteiten 44.43411.117.218.9-4.616.627.6-7.719.88623.16927.23424.00725.77217.6787.1399.1785.89810.943000000-0.12.702.50.12.2-0.121.91.8
Kasstroom uit Financieringsactiviteiten -355.9-222.2-114.2-363.3-199.5-123.3-268.8-157.7-175-179.034-120.801-223.968-103.4-167.352-69.524-91.769-77.0187.84-164.498-45.349-40.924-92.243-31.79-38.95519.577-43.713.3-8.2-36.9-20.5-16.4-24.2-14.3-22.6-2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -4.1-1.2-14.15.90.2-3-2.48.3-2.2-28.601-0.6362.705-27.54919.149-2.259-4.9414.8032.0831.3690.8832.7331.879-4.194-0.801-1.053-1.16.24.23.22.53.41.11.41.50.8
Netto Kasstroomverandering 45.6-6.2-29.5-13.858.8-26.9-103.765.253.3-106.5272.28-1.651-47.70541.49488.31360.3328.129.77-88.59934.56232.43421.4849.454.119-17.79525.81.7-16.62.45.7-9.11.1-4-3.332.2
Kaspositie aan het Einde van de Periode 232.7187.1193.3222.8236.6177.8204.7308.4243.2189.898296.418224.138225.789273.494232143.68783.35755.23745.467134.06699.50467.0745.58636.13624.14941.91614.33128.62332.231.135.138.4