Deere & Company

NYSE:DE

393.75 (USD) • At close November 12, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 10,1557,1305,9652,7533,2572,370.62,159.21,521.51,940.93,163.33,537.63,071.62,807.81,874.3873.52,052.81,821.71,693.81,446.81,406.1643.1319.2-64485.5239.21,021.4960.1817.3706.1603.6184.437.4-20.2411.1380.2
Afschrijvingen & Amortisatie 2,0041,8952,0502,1182,0191,927.11,715.51,559.81,382.41,306.51,140.31,004.2914.9914.8873.3831744.4691.4636.5621631.4725.3718.3647.9513.3418365.6311.4283.1256.7257.2250.4209.2203.8192.9
Uitgestelde Inkomstenbelasting -790-66-441-11-4651,479.9100.1282.7-18.4-280.1-172.6-91.8-168175171.689.7-4.215.8-49.338533.1-1.2-230.3-132.9-162.4141.9-6.9-6575.526.2-30.4-15.9-100.157.791.8
Aandelen Gebaseerde Vergoedingen 1308582818283.868.156.166.178.580.774.56971.270.570.60000000000000000000
Verandering in Werkkapitaal -3,337-4,3153961,870-1,663-4,073.4-1,292.3314.1239.9-654.4-1,415.7-2,697.5-755.9-1,227.6-496.1-962.161.6-1,209.9-839.4-1,321.7126.8388494.15.7774.6-1,046.3-226209.2-325.5-273.9240.138.3192.4-334.9-237.6
Vorderingen -4,253-2,4839692,009-142-1,531.1-838.9335.2811.6-749-1,510.2-1,901.6-808.9-1,100.6481.8-428.400000000802.30000000000
Voorraden 279-2,091-2,497397-780-1,772.3-1,305.3-106.1-691.4-297.9-728.4-1,510.2-1,730.5-1,052.7452.5-1,195.4-357.2-78-324.1-293.784.185.8136.5-18450.7-192.6-255.2-75.1-17-164.535.4-3134.867.64.2
Crediteuren 8301,1331,884-713722.3968-155.2-170.2-287480.5723.31,2871,057.7-1,168.3702.100000000-170.80000000000
Overig Werkkapitaal -193-87440-529-754-1,492.3-116.1240.2289.9679.5342.4-9496.5-132-262.1-40.4418.8-1,131.9-515.3-1,02842.7302.2357.6189.792.4-853.729.2284.3-308.5-109.4204.741.357.6-402.5-241.8
Overige Niet-Contante Posten 427-30-32667218232.3-550.830.1129.4-87.984-193.3-541.5474.5492-133153156.62272.1101.3263.662.873.869.8-165.413.214.269.882.779.448.182.959.40.1
Kasstroom uit Operationele Activiteiten 8,5894,6997,7267,4833,4121,820.32,199.83,764.33,740.33,525.93,254.31,167.72,326.32,282.21,984.81,9492,759.4973.21,216.61,162.51,535.71,878.31,113.41,0801,434.5416.91,156.71,344.4839.4718.8834.1358.3613397.1420.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4,468-3,788-2,580-2,656-3,449-2,950.1-2,592.3-2,955.1-2,826.1-2,659.3-2,375.3-2,121-1,680.8-1,312.8-1,308.1-1,608.2-1,484.2-766-512.6-363.8-309.6-358.7-491-426.7-531.3-537.8-484.9-275.9-262.4-228.1-206.5-285.7-298-292.1-181.1
Netto Overnames -82-498-244-6693-5,089.4-170.3-117.4149.2345.8-61.530.2850.3-10.6-49.8-210.3-112.1384.4-169.7-192.9-10.6-506.9-315.2-643.3-215.8154.5101.98645.549.246.543.932.436.824.7
Aankoop van Beleggingen 00-194-130-140-132.8-118-171.2-154.9-614.6-1,026.3-922.2-586.9-63.4-29.5-1,141.4-2,251.6-2,565.6-3,276.3-79.6-118.2-87.8-75.7-61.9-92.9-224.9-166.7-127.3-194.1-344.8-346.5-372.2-200.6-192.9-319.9
Verkoop/verval van Beleggingen 00109938976.6404.2169.4860.71,022.5843.9240.332.438.4825.11,738.52,458.53,0061,06566.776.475.432.4247.8115.4187.3226104.4181.2222.9320.9278.2136.3118.9259.7
Overige Investeringsactiviteiten -4,199-4,199-2,841-560-517-58.7832.11,897.1912.4-975.4-2,201.5-1,231.4-1,235.7-760.7505.3-204.6-543.9-1,207.7-2,279.6-1,165.9-534.1564-1,515.4-2,226.272.8-701-1,060.4-1,002.7-966-904.5400.6202.1-1,049.1-638.9-517.3
Kasstroom uit Investeringsactiviteiten -8,749-8,485-5,750-3,319-3,924-8,154.4-1,644.3-1,177.2-1,058.7-2,881-4,820.7-4,004.1-2,620.7-2,109.1-57-1,426-1,933.3-1,148.9-5,173.2-1,735.5-896.1-314-2,364.9-3,110.3-651.8-1,121.9-1,384.1-1,215.5-1,195.8-1,205.3215-133.7-1,379-968.2-733.9
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000000000000000000000
Uitgifte van Gewone Aandelen 19,43763148331178216.9528.736172.1149.5174.561170129.116.5108.9285.7327.6153.6250.8174.54817.815.94.222.734.83943.636.95860000
Terugkoop van Gewone Aandelen -7,216-3,597-2,538-750-1,253-957.9-6.2-205.4-2,770.7-2,731.1-1,531.4-1,587.7-1,667-358.8-3.2-1,677.6-1,517.8-1,299.3-918.9-193.1-0.4-1.2-1.3-0.6-49-885.9-419.1-274.70000000
Uitgekeerde Dividenden -1,427-1,313-1,040-956-943-805.8-764-761.3-816.3-786-752.9-697.9-593.1-483.5-473.4-448.1-386.7-348.4-289.7-246.6-210.5-208.9-206.5-206-205.4-212.4-204.3-209.3-190.5-171.8-152.9-152.5-152.3-140.3-86.2
Overige Financieringsactiviteiten -7314,1189,442-1,1628,9538,668.59,925-1,242.36,1598,288.47,474.811,500.85,450.53,379.24,760.75,953.72,584.61,731.68,218.1-0.41,792.4777.54,383.64,443.5-0.13,525.81,715.2490.4620.2525.8-1,359.2-133.11,012.9692.6338.2
Kasstroom uit Financieringsactiviteiten 2,808826-1,078-980509876.44,286.5-2,405.9-2,119.1-288.3406.53,880.2139.6-1,009.7470.3-648.5-281-416.83,053.1-668.5858.9225.92,000.42,030.4-795.1686.7268.9-200473.3390.9-926.1-285.6860.6552.3252
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 31-2245532-5626.8157.1-13-187.3-73.611.7-38.811.4-24.542.258.34621.8-19.438.171.1-5.3-10.6-3.9-1.8-2-3-1.11.42.8-1.6-0.7-1.50.4-0.7
Netto Kasstroomverandering 2,679-3,1849533,216-59-5,430.94,999.1173.6375.2283-1,148.21,005-143.4-861.12,440.3-67.2591.1-570.7-922.9-1,203.41,569.61,784.9738.3-3.8-14.2-20.338.5-72.2118.3-92.8121.4-61.793.1-18.4-62.1
Kaspositie aan het Einde van de Periode 7,6204,9418,1257,1723,9563,9049,334.94,335.84,162.23,7873,5044,652.23,647.23,790.64,651.72,211.42,278.61,687.52,258.23,181.14,384.52,814.91,030291.7295.5309.7330291.5363.7245.4338.2216.8278.5185.4203.9