Danaher Corporation

NYSE:DHR

271.9 (USD) • At close September 18, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Operationele Activiteiten:
Nettowinst 4,2217,2096,3473,6462,432.32,650.92,469.82,153.42,598.72,598.42,6952,299.31,935.2871,7931,151.7041,317.6311,369.9041,122.029897.8746536.834290.391297.665324.213261.6182.9154.8207.8108.481.753.731.613.335.7
Afschrijvingen & Amortisatie 2,1662,2222,1681,7751,189.51,307.71,238.31,128.11,051.3938.5895839.8634.934397.082341.587339.287268.492217.19176.972156.128133.436129.565178.39149.721126.4108.776.168.658.544.640.937.133.225.6
Uitgestelde Inkomstenbelasting -1,204-559-318-462-415.2-195.1-426.9-383.9-151.3177.3254.6184.9271,39500-27.69129.8724.1540000000000000000
Aandelen Gebaseerde Vergoedingen 306295184187158.8151.4139.4129.8139121.1117.7109.995.60388.12287.3586000000000000000000
Verandering in Werkkapitaal -393-1,519-658605-123.2-90.1-353-279.251.4256.9242.3278.584.625119.952304.942116.111113.601116.687129.029131.088191.274146.641132.41638.31131.12.3-11.937.5-35.1-12.641.24.2-4.88.7
Vorderingen 322-477-611-264-156.4-58.3-161.4-183.1-52.1-142.2-48.7-79.7-135.279-262.123106.13271.4030000059.03000000000000
Voorraden 185-486-502-123-21.9-143.3-27.49.4119.750.662.969.8162.019-166.454211.59533.11938.0943.368-22.47865.52821.06177.54466.833-38.45111.112.514.738.9-15.6-1.35.39.215-0.5
Crediteuren -149554922718.1225.8-54.478.1103.9118.4182.65736.602224.711-89.8533.7130000054.008000000000000
Overig Werkkapitaal -751-561-9476537-114.3-109.8-183.6-120.1230.145.5231.421.283323.81877.0687.87675.507113.319151.50765.56170.213-43.94165.58376.76220-10.2-26.6-1.4-19.5-11.335.9-5-19.89.2
Overige Niet-Contante Posten 2,068830601457709.4197.2410.2773.6112.7-333.8-619.3-297.4-271,519.182-313.805-84.74927.691-136.09267.191000143.7500037.459.4-96.842.430.7000.10
Kasstroom uit Operationele Activiteiten 7,1648,5198,3586,2083,951.64,0223,477.83,521.83,801.83,758.43,585.33,4152,626.2672,084.3511,800.8341,859.0291,645.7751,547.2511,203.8011,033.216861.544710.347608.471512.245419.1331.3278.4217.1174.2144.4135.872.941.870
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,383-1,152-1,294-791-635.5-584-570.7-589.6-512.9-465.4-538.1-458.3-334.471-217.328-188.547-193.783-162.071-137.706-121.206-115.906-80.343-65.43-80.585-88.503-153.7-616-62.8-51.3-59.2-54.5-40.3-33.9-41.8-33
Netto Overnames -5,610-637-10,935-20,145-331.3-2,173.3-385.8-4,880.1-14,305-3,130.9-249.8-1,796.8-6,196.067-2,073.11-703.511-423.208-3,576.562-2,656.035-885.083-1,591.719-312.283-1,158.129-406.988-706.7940000000000
Aankoop van Beleggingen -172-523-934-342-241-148.9247.94,615.3-87.12,877.1-1.4000-66.7680-23.21900000000000000000
Verkoop/verval van Beleggingen 611812613-59.222.2137.9264.843253.8251.2000048.504301.27898.485043.100000000000000
Overige Investeringsactiviteiten 2360502628.9-65-272.7-4,653.4-89-2,978.9-14.4367.5683.2841.55915.8851.08814.815-74.11440.88330.89424.57479.02800016.3-147.2-91.4-207.9-144.2-54-22.500
Kasstroom uit Investeringsactiviteiten -7,081-2,234-12,987-21,239-1,238.1-2,949-843.4-5,243-14,951-3,444.3-552.5-1,887.6-5,847.254-2,288.879-942.941-567.399-3,445.759-2,769.37-965.406-1,633.631-368.052-1,144.531-487.573-795.297-153.7-599.7-210-142.7-267.1-198.7-94.3-56.4-41.8-33
Financieringsactiviteiten:
Schuldaflossingen -1,626-1,688-1,282-5,962-1,571-507.8-668.4-760.3-35.5-414.7-967.8-61.5-854,022-9.388-0.47-1,164.911-1,827.944-1.145-253.352-0.06600000000000000
Uitgifte van Gewone Aandelen 6831861,8822,216.79668.8164.5249132.9177.42121,112,551178.4060.1740.0820.7330.0980.060.04650.497512.10528.16926.5887.929.62.59.53.611.32.92.12.3
Terugkoop van Gewone Aandelen 003,2495,70416,514.2411.8599.60-213.500-648.4-2,086,545.3660406.825-74.165-117.4861,217.622-257.696000-17.299-82.17400-19.8-12.100000-15.2
Uitgekeerde Dividenden -821-818-742-615-526.7-433.4-378.3-399.8-354.1-227.7-52.1-86.4-61.323-52.214-41.717-38.259-34.275-24.589-21.553-17.731-15.326-13.516-11.676-10.015-9.9-10.5-5.9-5.1-4.7-3.4-2.6000
Overige Financieringsactiviteiten 2,106-95-16-3-43.3-364-2,720.21,682.29,404.3424.2-585.9195.91,848,518-9.40.745116.7793,656.9012.29-0.55-38.017-145.50917.708410.516266.09-129.8219.2-38.1-48.498.351.7-35.1-17.8-2.6-26.6
Kasstroom uit Financieringsactiviteiten -273-2,5701,2951,00616,365.9-797-3,098.52,042.79,050.2-218.2-1,605.8-388.42,088.634116.804407.232-1,122.2531,712.171,218.841-511.56-38.055-110.338516.297409.71200.481-51.8238.3-61.3-56.197.249.3-36.4-14.9-0.5-39.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 59-306-11514845.1-118130.7-148.6-115.8-205.59.52.736.374-1.21663.941-15.6319.1125.537-20.39917.42936.53921.791-0.973-0.786-1.11.2-0.20.10.10.3-41.50.1-0.2-1.6
Netto Kasstroomverandering -1313,409-3,449-13,87719,124.5157.7-333.4172.9-2,214.8-109.61,436.51,141.7-1,095.979-88.941,329.066153.746-78.7022.259-293.564-621.041419.693103.904529.635-83.357212.5-28.96.918.44.4-4.7-36.41.7-0.7-4.1
Kaspositie aan het Einde van de Periode 5,8645,9952,5866,03519,912.3788630.3963.7790.83,005.63,115.21,678.7537.0011,632.981,721.92392.854239.108317.81315.551609.1151,230.156810.463706.559176.924260.341.933.326.382.2-34.71.7-0.10.7