Ducommun Incorporated

NYSE:DCO

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 42.86346.24676.31656.46639.58410.2632.157.4325.45445.62748.81446.53741.44910.26818.6293.50831.5710.37819.2210.1583.8320.1742.4220.10.19.12.20.60.48.50.50.20.50.10.20.81.53.44.8
Kortetermijnbeleggingen 000000000.001000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 42.86346.24676.31656.46639.58410.2632.157.4325.45445.62748.81446.53741.44910.26818.6293.50831.5710.37819.2210.1583.8320.1742.4220.10.19.12.20.60.48.50.50.20.50.10.20.81.53.44.8
Nettovorderingen 282.378295.248248.666212.053173.803154.48474.06476.23977.08991.0691.909100.85699.4651.80552.58557.16444.84146.1432.8926.90926.27523.96829.92120.8442019.719.214.713.810.49.610.110.811.210.49.114.569.978.6
Voorraad 206.979171.211150.938129.223112.482101.125122.161119.896115.404142.842140.507148.318154.50372.59767.74983.15767.76964.58753.29950.4640.00341.33645.06932.2426.319.524.622.613.410.49.510.21110.611.612.221.8100.198
Overige vlottende activa 17.3498.9388.6255.5715.4979.83911.43511.03414.35823.70227.08510.44133.35921.63720.3346.1725.3285.5214.4644.3974.2774.43.8647.08488.19.56.46.231.71.20.60.722.5125.614.56.4
Totaal vlottende activa 549.569527.336492.569410.284340.768287.39221.014225.941264.231328.741330.764334.571340.791161.392164.091159.173157.236122.742115.97889.91182.19776.72987.07460.26854.456.455.544.333.832.321.321.722.922.624.224.6163.4187.9187.8
Niet-vlottende activa:
Materiële vaste activa, netto 140.892140.857135.684126.338134.321107.045110.252101.5996.55199.06896.0998.38398.47759.46160.92361.95456.29452.98752.48154.98456.92961.93666.94749.57944.741.130.627.12323.624.524.124.82627.229.432.953.147.6
Goodwill 244.6203.407203.694170.83170.917136.057117.43582.55482.554157.569161.94161.94163.845100.442100.442114.002106.632106.62857.20157.20157.20155.53259.1650000000000000000
Immateriële activa 166.343127.201141.764124.744138.362112.092114.693101.573110.621155.104165.465176.356187.8540000057.20157.20157.20155.532039.05641.91916.918.316.714.73.13.23.33.43.53.66.810.69.7
Goodwill en immateriële activa 410.943330.608345.458295.574309.279248.149232.128184.127193.175312.673327.405338.296351.699100.442100.442114.002106.632106.62857.20157.20157.20155.53259.16539.05641.91916.918.316.714.73.13.23.33.43.53.66.810.69.7
Langetermijnbeleggingen 00-18.72700000.553-26.528-13.836-10.85-10.459-12.02-5.085-4.794-9.172-7.727-6.116-6.048-7.389-6.217000000000000000000
Belastingvorderingen 0.64113.95318.7270.0330.0550.3080.2610.28626.52813.83610.8510.45912.025.0854.7949.1727.7276.1166.0487.3896.2171.0490.160000000000000000
Overige niet-vlottende activa 18.8748.7525.0245.1186.0065.2513.0982.9327.4637.1179.9413.82417.1224.15728.45331.05712.31414.6762.3092.4571.7142.3642.7291.4610.80.71.26.17.59.36.40.711.21.91.20.39.122.5
Totaal niet-vlottende activa 571.35494.17486.166427.063449.661360.753345.739289.488297.189418.858433.435450.503467.296184.06189.818207.013175.24174.291111.991114.642115.844120.881129.00190.09687.460.848.751.547.247.6342829.130.632.634.24072.879.8
Totaal activa 1,120.9191,021.506978.735837.347790.429648.143566.753515.429561.42747.599764.199785.074808.087345.452353.909366.186332.476297.033227.969204.553198.041197.61216.075150.364141.8117.2104.295.88179.955.349.75253.256.858.8203.4260.7267.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 72.26590.14366.05963.9882.59769.27451.90757.02440.34358.97958.11152.57860.67539.92539.43435.35833.84532.94817.78712.77214.216.20317.59911.5528.17.498.34.93.73.15.54.64.64.10000
Kortlopende schulden 15.68613.40513.13310.1329.9562.3320.2220.0030.0260.0260.0253.0421.960.1874.9632.421.8591.19601.22.1851.5013.161.4091.51.40.91.13.912.20.50.201.10.11.184.436.510.4
Belastingschulden 0.17710.4780.9260.080.1630.0820.0710.3321.5131.581.4513.8121.82000000.0560.5981.5930.1400000000000000000
Uitgestelde opbrengsten 53.49247.06842.07728.26414.51717.1453.973.2041.7581.1393.2365.65342.57300000000000000000000000000
Overige kortlopende verplichtingen 42.2648.8241.29140.52637.6237.7864.13726.07541.4850.92742.21747.06311.2531.17433.86951.72343.82933.24333.87930.55236.15225.03924.77815.90414.916.815.417.613.89.75.96.111.19.99.212.122.616.656.7
Totaal kortlopende verplichtingen 183.703199.436162.56142.902144.69126.53580.23686.30683.607111.071103.589108.336116.45871.28678.26689.50179.53367.38751.66644.52452.53742.74345.53728.86524.525.625.32722.625.69.511.815.715.613.413.210753.167.1
Langlopende verplichtingen:
Langetermijnschulden 256.961269.436307.458326.477318.452226.961216.055166.896245290.026332.677362.702390.283.09323.28928.29923.89229.24000.424.34949.13818.24526.35.44.99.233.237.73234.440.44451.954.762.6154.4122.7
Uitgestelde opbrengsten niet-vlottend 22.9470000000000000-7.732000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 4.76613.95318.72716.99216.76618.0715.98131.41726.52869.44868.48967.80872.0437.6917.7329.9025.5846.675.7526.4215.3133.1222.6882.4092.21.70000000000004.2
Overige niet-vlottende verplichtingen 16.44812.72115.38821.64217.72119.75218.89818.70718.95420.48419.7523.55325.0229.19718.46814.0389.4166.7112.72.1172.0416.9544.111.31610.80.30.40.60.80.20.20.10.20000.20.3
Totaal niet-vlottende verplichtingen 301.122296.11341.573365.111352.939264.783250.934217.02290.482379.958420.916454.063487.34519.98141.75752.23938.89242.6218.4528.5387.75434.42555.93621.9729.57.95.29.633.838.532.234.640.544.251.954.762.6154.6127.2
Totaal passiva 484.825495.546504.133508.013497.629391.318331.17303.326374.089491.029524.505562.399603.80391.267120.023141.74118.425110.00860.11853.06260.29177.168101.47350.8355433.530.536.656.464.141.746.456.259.865.367.9169.6207.7194.3
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.1460.1210.1190.1170.1160.1140.1130.1120.1110.110.110.1070.1070.1060.1060.1060.1050.1030.1010.10.0990.0990.0970.0970.100000000000000
Ingehouden winsten 421.98406.052377.263241.727212.553180.356161.364141.287117.623190.905174.828165.485149.048197.421180.76173.718162.192142.76128.463112.47101.29885.09778.59263.98951.337.814.1-0.2-10.5-15.5-17.7-27.9-31-33.4-35.2-35.8-16.43.323.7
Overige gereserveerde algehele resultaten 7.7717.745-7.033-9.6-8.268-7.357-6.117-6.079-5.603-6.651-3.862-7.468-7.325-3.102-3.554-4.432-1.69-2.158-2.7-2.117-2.041-2.679-53.277-46.083-40.2-35.5-32.8-31.3-30.2-26.2-25.1-23.5-20.6-17.8-15.1-12.6-11.5-18.9-13.9
Overige totale aandeelhoudersvermogen 206.197112.042104.25397.0988.39983.71280.22376.78375.272.20668.61864.55162.45459.7656.57455.05453.44446.3241.98741.03838.39437.92589.1981.52676.681.492.490.765.357.556.454.747.444.641.839.361.768.663.5
Totaal eigen vermogen van aandeelhouders 636.094525.96474.602329.334292.8256.825235.583212.103187.331256.57239.694222.675204.284254.185233.886224.446214.051187.025167.851151.491137.75120.442114.60299.52987.883.773.759.224.615.813.63.3-4.2-6.6-8.5-9.133.85373.3
Totaal eigen vermogen 636.094525.96474.602329.334292.8256.825235.583212.103187.331256.57239.694222.675204.284254.185233.886224.446214.051187.025167.851151.491137.75120.442114.60299.52987.883.773.759.224.615.813.63.3-4.2-6.6-8.5-9.133.85373.3
Totaal passiva en aandeelhoudersvermogen 1,120.9191,021.506978.735837.347790.429648.143566.753515.429561.42747.599764.199785.074808.087345.452353.909366.186332.476297.033227.969204.553198.041197.61216.075150.364141.8117.2104.295.88179.955.349.75253.256.858.8203.4260.7267.6