DuPont de Nemours, Inc.

NYSE:DD

76.88 (USD) • At close December 23, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,8033,6622,0112,5441,54013,48213,4386,6078,5775,6545,9404,3185,4447,0392,8462,8001,7362,7573,8063,1082,3921,4842202155061232351,9032,839569407375236204117225418261114
Kortetermijnbeleggingen 01,302000134956000012000115332844289448970600000000000000
Liquide middelen en kortetermijnbeleggingen 2,8034,9642,0112,5441,54013,61614,3946,6078,5775,6545,9404,3185,4467,0392,8462,8001,7372,9103,8383,1922,4341,5732643041,2121232351,9032,839569407375236204117225418261114
Nettovorderingen 2,3702,5182,1591,9113,8343,00816,8939,0247,8469,3729,6479,6799,6269,0449,1956,8569,6848,0487,9267,3575,8205,4855,0985,3854,6144,5374,9584,3964,1094,4583,8323,7304,2154,5384,2193,7683,2292,3682,187
Voorraad 2,1472,3292,8623,7264,31916,62116,9927,3636,8718,1018,3038,4767,5777,0876,8476,0366,8856,0585,3194,9574,0504,2084,4403,4632,7862,8102,9212,8152,7482,7122,5262,6922,9683,1822,8322,3702,1051,9402,023
Overige vlottende activa 1941,4598,63322,160306110,9631,6146656471,1401,0871,211773611672368348193321384698415506108235570526716858954887646300951720000
Totaal vlottende activa 7,51411,3158,06510,8779,99949,60349,89323,65924,47524,26724,97723,68423,42223,78119,56016,06018,65417,20917,40415,89013,00211,68110,3089,2608,8478,0408,6409,83010,5548,6937,6527,4437,7198,0197,3406,3635,7524,5694,324
Niet-vlottende activa:
Materiële vaste activa, netto 6,3685,7316,9669,98510,14335,84836,24723,48617,85418,05117,45417,52017,29917,66818,14114,29414,38813,72213,53713,82814,21713,79713,5799,1908,4908,4478,0528,4848,1138,7268,5808,8018,7758,2497,6426,5765,5515,3475,127
Goodwill 16,72016,66319,57830,24433,15159,03259,52715,27212,15412,63212,79812,73912,93012,96713,1143,3943,5723,242000000000000000000000
Immateriële activa 5,8145,4958,44211,14413,59330,96533,2746,0263,6173,7684,3144,7115,0615,5305,9668297814573,5833,6873,8053,8023,1301,8871,8341,6411,7628996584,3654,4344,3824,3094,1893,997691485303265
Goodwill en immateriële activa 22,53422,15828,02041,38846,74489,99792,80121,29815,77116,40017,11217,45017,99118,49719,0804,2234,3533,6993,5833,6873,8053,8023,1301,8871,8341,6411,7628996584,3654,4344,3824,3094,1893,997691485303265
Langetermijnbeleggingen 1,0717339811,0831,2287,9057,9006,7166,8816,6407,0426,6865,9136,3835,9955,72500000000000000000000000
Belastingvorderingen 3121091432342361,7241,8693,0791,6942,1351,9643,3332,5592,0792,0393,9002,1264,0063,6584,3694,1133,4702,2480000000000000000
Overige niet-vlottende activa 7531,3541,5327,3371,0462,9533,4541,2731,3511,3039529322,0401,1801,1221,2729,2806,9457,7528,1116,7546,8126,2507,3086,3285,7025,5865,4604,2574,7614,8394,7343,9243,4963,1872,6092,5682,0232,114
Totaal niet-vlottende activa 31,03830,08537,64260,02759,397138,427142,27155,85243,55144,52944,52445,92145,80245,80746,37729,41430,14728,37228,53029,99528,88927,88125,20718,38516,65215,79015,40014,84313,02817,85217,85317,91717,00815,93414,8269,8768,6047,6737,506
Totaal activa 38,55241,40045,70770,90469,396188,030192,16479,51168,02668,79669,50169,60569,22469,58865,93745,47448,80145,58145,93445,88541,89139,56235,51527,64525,49923,83024,04024,67323,58226,54525,50525,36024,72723,95322,16616,23914,35612,24211,830
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,6752,1032,1022,2222,9342,6199,1344,5193,5774,4814,5905,0104,7784,3563,9872,9834,2544,6454,6255,8954,8842,8343,6394,5692,8692,6632,6912,3202,2462,5622,2442,0832,3862,4682,2740000
Kortlopende schulden 9739024263,830154,0159079959451,1401,0683,2903,2223,2213,8142,1341,5101,5209651,3461,3771,6171,6591,0351,8262,0621,2726981,2751,0421,2781,5731,4332,286432179279463
Belastingschulden 15423327820524085784360045236143525138234918663700000000000000000000000
Uitgestelde opbrengsten 0111,4751,5902071000000-2,2160002,6292,4662,5432,8852412,3282,3560000000000000000
Overige kortlopende verplichtingen 1,1721,0072,3099,7931,34269,82112,1366,5786,0915,7945,8065,1645,1845,9695,7125,6746,0574,4464,5183,6463,0634,6452,8691,6452,3912,3532,5872,4122,6572,7812,3652,2802,1761,8531,9243,7433,2762,5292,512
Totaal kortlopende verplichtingen 3,0983,8484,2624,6998,34624,71526,12812,60411,21511,59311,97111,49313,63413,89613,10613,10812,44510,60110,66310,5069,5348,8568,1257,8736,2956,8427,3406,0045,6016,6185,6515,6416,1355,7546,4844,1753,4552,8082,975
Langlopende verplichtingen:
Langetermijnschulden 8,1908,10810,63415,91914,03512,64930,3439,0817,09618,83816,82019,91918,31013,11311,8282,5767,5818,0369,18610,62911,76311,6599,2664,8655,0224,0514,1964,1964,7055,3035,9026,1916,0795,2093,8553,3383,7793,4043,198
Uitgestelde opbrengsten niet-vlottend 2208521,3481,17215,90918,58111,3759,11910,6618,33211,6069,0347,4927,2425,9661,0001,0001,0001,0001,0001,0001,0000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,1301,1581,9742,9053,5145,4356,2669235756227188371,0911,2951,2857468549991,3951,3011,1249947608878397476491,005659644372214529698642567527441331
Overige niet-vlottende verplichtingen 1,4091,3391,6333,6891,9455,99427,5006,9244,7193,7283,7363,8833,8643,6583,9463,5326,1186,5157,0307,7308,9199,0616,0143,9244,0624,1863,5043,3893,1403,2403,0913,2041,5392,8382,633904826421534
Totaal niet-vlottende verplichtingen 10,72910,60514,39527,13519,49467,13664,10939,67830,62833,84929,60636,24532,29933,05031,70718,78616,55317,55019,61122,66022,80622,71417,0409,6769,9238,9848,3498,5908,5049,1879,3659,6098,1478,7457,1304,8095,1324,2664,063
Totaal passiva 13,82714,45318,65731,83427,84091,85190,23752,28241,84345,44241,57747,73845,93346,94644,81331,89428,99828,15130,27433,16632,34031,57025,16517,54916,21815,82615,68914,59414,10515,80515,01615,25014,28214,49913,6148,9848,5877,0747,038
Eigen vermogen:
Preferente aandelen 000000004,0004,0004,0004,0004,0004,0004,000000000005005504349343412216104000000
Gewone aandelen 4557724233,1073,1073,1073,0543,0082,9612,9312,9062,4532,4532,4532,4532,4532,4532,4532,4532,45381800000000000000
Ingehouden winsten -22,874-21,135-23,187-11,586-8,40030,53629,21130,33828,42523,04521,40718,49519,08717,73616,70417,01318,00416,98714,71911,5279,9949,52011,11214,07113,44512,88712,35711,32310,1598,8578,6458,7209,9209,6758,9997,1675,2264,4264,058
Overige gereserveerde algehele resultaten -910-7914144-1,416-12,394-8,972-9,822-8,667-8,017-4,827-7,516-5,996-4,399-3,892-4,389-170-2,235-559-989-1,521-2,158-1,160-336-25100000000000000
Overige totale aandeelhoudersvermogen 48,05948,42049,57450,03950,79676,55580,0682,603-1,7636133,6213,2812,6632,0471,356-1,787-898-140-1,289-2,721-1,751-2,189-2,412-6,675-5,689-5,458-4,731-3,369-2,798-645-611-656-479-947-1,04288543742734
Totaal eigen vermogen van aandeelhouders 24,27926,49926,43338,50440,98794,571100,33025,98725,37422,42326,89820,87722,28121,83920,55513,51119,38917,06515,32412,2709,1757,6269,9939,6868,8737,4727,6757,9887,7028,2348,0508,0749,4458,7287,9577,2555,7695,1684,792
Totaal eigen vermogen 24,72526,94727,05039,07041,55696,179101,92727,22926,18323,35427,92421,86723,29122,64221,12413,58019,80317,43015,66012,7199,5517,99210,35010,0969,2818,0048,35110,0799,47710,74010,48910,11010,4459,4548,5527,2555,7695,1684,792
Totaal passiva en aandeelhoudersvermogen 38,55241,40045,70770,90469,396188,030192,16479,51168,02668,79669,50169,60569,22469,58865,93745,47448,80145,58145,93445,88541,89139,56235,51527,64525,49923,83024,04024,67323,58226,54525,50525,36024,72723,95322,16616,23914,35612,24211,830