Dover Corporation

NYSE:DOV

189.16 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 398.561380.868385.504513.075397.253396.221753.964349.146362.185681.581803.882800.0761,206.7551,187.361714.365547.409602.412373.616191.15357.606370.379294.448175.865181.39913896.8124.8200121.790.363.771.681.8108.9135.484.5191.2170.1184.5
Kortetermijnbeleggingen 0000000000000121.734223.809279.46000000.5110.9975.341000000000000000
Liquide middelen en kortetermijnbeleggingen 398.561380.868385.504513.075397.253396.221753.964349.146362.185681.581803.882800.0761,206.7551,309.095938.174826.869602.412373.616191.15357.606370.379294.959176.862186.7413896.8124.8200121.790.363.771.681.8108.9135.484.5191.2170.1184.5
Nettovorderingen 1,432.041,516.8711,347.5141,137.2231,217.191,231.8591,385.5671,265.2011,120.491,186.7461,359.1011,225.8981,190.2651,087.704878.7541,013.1741,097.6971,056.828991.512912.688747.567669.885675.233903.177750.9575.6818.3715.5706.9576.6475.2389.3368389.3389.2363.8283.9259.4265.4
Voorraad 1,225.4521,366.6081,191.095835.804806.141748.796878.635870.487802.895863.737926.998872.841803.346714.11570.858636.121681.6709.647682.393775.741639.339595.071660.601783.2639.4559.3562.8499.9479.3364.6294.3250.2227.3246.3236.5272.4232.9195.8201.8
Overige vlottende activa 141.538159.118137.596133.085127.846126.878188.954104.357135.209101.48275.5579.094196.764150.962134.921138.021162.529131.415110.87103.91292.35598.086142.232101.73283.372.885.474.476.5101.670.462.979.370.26218.113.76.25.4
Totaal vlottende activa 3,390.2353,423.4653,061.7092,619.1872,548.432,503.7543,207.122,589.1912,420.7792,896.8223,240.1623,027.8443,397.133,261.8712,522.7072,614.1852,544.2382,271.5061,975.9252,149.9471,849.641,658.0011,654.9281,974.8491,611.61,304.51,591.31,489.81,384.41,133.1903.6774756.4814.7823.1738.8721.7631.5657.1
Niet-vlottende activa:
Materiële vaste activa, netto 1,031.8161,004.825957.31897.326842.318806.497999.772945.67854.269837.0691,182.9821,167.0521,000.87847.189828.922872.134885.145856.799816.679756.68717.875704.922761.361755.548646.5572570.6494.9423.9342.7283.4251.3251.1268.4272.2268.1212.9203.5186.1
Goodwill 4,881.6874,669.4944,558.8224,072.5423,783.3473,677.3284,591.9124,562.6773,737.3893,491.5574,242.9094,094.653,787.1173,368.0333,350.2173,255.5663,293.9863,201.9832,712.623001,654.8831,946.4230000000000000000
Immateriële activa 1,483.9131,333.7351,359.5221,083.7721,055.0141,134.2561,609.9271,802.9231,413.2231,369.521,612.4871,645.421,207.084907.523950.748952.4091,070.5741,065.3823,486.6132,679.0572,194.029202.836173.1942,078.6391,820.71,446.21,078.7973.4821.4574.8545.4358.9300.1345.6279.6304.7204.4184.6165.7
Goodwill en immateriële activa 6,365.66,003.2295,918.3445,156.3144,838.3614,811.5846,201.8396,365.65,150.6124,861.0775,855.3965,740.074,994.2014,275.5564,300.9654,207.9754,364.564,267.3653,486.6132,679.0572,194.0291,857.7192,119.6172,078.6391,820.71,446.21,078.7973.4821.4574.8545.4358.9300.1345.6279.6304.7204.4184.6165.7
Langetermijnbeleggingen -346.3830-364.117-298.423-322.036-339.325-438.841-710.173-575.709-63.276-74.631-49.935-41.905-89.72-69.99930.218-77.477-65.769-53.59400000000000000000000
Belastingvorderingen 346.383375.15364.117298.423322.036339.325438.841710.173575.70963.27674.63149.93541.90589.7269.99973.68677.47765.76953.59400000000000000000000
Overige niet-vlottende activa 560.86289.85466.264479.247440.368243.936248.922215.53194.103495.417483.189508.977109.249178.278154.98269.106275.827230.988293.815206.495372.208216.74366.29683.0853.1304.636.935.3372041.341.94939.731.55411.210.28.1
Totaal niet-vlottende activa 7,958.2787,473.0547,341.9186,532.8876,121.0475,862.0177,450.5337,526.86,198.9846,193.5637,521.5677,416.0996,104.325,301.0235,284.8695,253.1195,525.5325,355.1524,597.1073,642.2323,284.1122,779.3842,947.2742,917.2672,520.32,322.81,686.21,503.61,282.3937.5870.1652.1600.2653.7583.3626.8428.5398.3359.9
Totaal activa 11,348.51310,896.51910,403.6279,152.0748,669.4778,365.77110,657.65310,115.9918,619.7639,090.38510,761.72910,443.9439,501.458,562.8947,807.5767,867.3048,069.777,626.6586,573.0325,792.1795,133.7524,437.3854,602.2024,892.1164,131.93,627.33,277.52,993.42,666.72,070.61,773.71,426.11,356.61,468.41,406.41,365.61,150.21,029.81,017
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 958.5421,068.1441,073.568853.942983.293969.531979.446830.318650.88615.332692.565651.358543.9241,097.969894.558373.436416.388410.001381.776364.406258.89199.624207.295277.91253.7187.7226.9202.8190.9155.2117.297.59393.597.80000
Kortlopende schulden 517.072735.772105.70248.83484.7220.318581.102414.55151.122777.956229.278610.7661.02216.92535.624224.944638.649290.549194.229339.26463.66923.76143.78842.537297.9433.6436.8492.4420264.1175.3224.7134.8297.4255.2222.4153.3130.161.9
Belastingschulden 68.31765.209141.99170.49952.16748.63959.6573.65131.70839.52361.02363.01965.1881,024.91904.47519.07118.138146.72109.63200000000000000000000
Uitgestelde opbrengsten 211.292256.933227.549184.84544.00136.46152.7554228.07220.67830.81739.94137.59395.979366.92119.07115.28313.289521.817471.413446.811398.574412.7970000000000000000
Overige kortlopende verplichtingen 812.93712.425843.522651.177637.897601.111684.89653.45537.108625.388662.92684.563620.445628.931537.554620.129610.872720.141109.632180.893141.43174.979155.299484.193783.3368.4532.9443.9470.1352.9303.3250.1247.7217224.3318.3259.3207.4226.2
Totaal kortlopende verplichtingen 2,499.8362,773.2742,250.3411,738.7981,749.8911,827.4212,298.1931,940.3181,367.1822,039.3541,615.581,986.6281,202.9812,139.8041,834.6571,237.581,681.1921,433.981,207.4541,355.976910.801696.938819.1711,604.641,334.9989.71,196.61,139.11,081772.2595.8572.3475.5607.9577.3540.7412.6337.5288.1
Langlopende verplichtingen:
Langetermijnschulden 3,164.7422,942.5133,018.7143,108.8292,985.7162,943.662,986.7023,206.6372,617.3422,253.0412,599.2012,189.352,186.231,790.8861,825.261,860.7291,452.0031,480.4911,344.173753.0631,003.9151,030.2991,033.243631.846608610.1262.6253255.6253.6252.11.26.32126.727.826.633.273.5
Uitgestelde opbrengsten niet-vlottend 19.54419.87921.51313.9219.1219.3829.91612.52612.4378.59910.62615.474-530.687-381.297-292.344582.60100000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 346.383894.366945.044918.674901.21826.024989.5781,169.29990.6641,046.5471,063.3691,139.7771,061.767381.297292.344314.405316.069364.034372.152296.464233.906136.469102.85367.38142.150.240.554.146.32.520.421.535.537.736.929.921.517.515.6
Overige niet-vlottende verplichtingen 211.403-19.879-21.513-13.921-9.121-9.382-9.916-12.526-12.43742.11995.557193.484650.604105.64264.05179.123674.333537.131319.73267.994242.459179.056127.396146.674108.166.474.257.556.146.435.426.210.914.118.726.117.613.914.3
Totaal niet-vlottende verplichtingen 3,742.0723,836.8793,963.7584,027.5033,886.9263,769.6843,976.284,375.9273,608.0063,350.3063,768.7533,538.0853,367.9141,896.5281,889.3112,836.8582,442.4052,381.6562,036.0551,317.5211,480.281,345.8241,263.492845.901758.2726.7377.3364.6358302.5307.948.952.772.882.383.865.764.6103.4
Totaal passiva 6,241.9086,610.1536,214.0995,766.3015,636.8175,597.1056,274.4736,316.2454,975.1885,389.665,384.3335,524.7134,570.8954,036.3323,723.9684,074.4384,123.5973,815.6363,243.5092,673.4972,391.0812,042.7622,082.6632,450.5412,093.11,716.41,573.91,503.71,4391,074.7903.7621.2528.2680.7659.6624.5478.3402.1391.5
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 259.842259.644259.457258.982258.552257.822256.992256.538256.113255.893255.32254.119250.592249.361247.342246.615244.548242.293239.796239.015238.304237.68237.303236.944236.200000000000000
Ingehouden winsten 10,995.62410,223.079,445.2458,608.2848,211.2577,815.4868,455.5017,927.7957,686.6427,074.7827,954.5367,199.2276,629.1165,953.0275,453.0225,286.4584,870.464,421.9274,004.9443,628.7153,342.023,164.5963,395.2933,252.3192,830.21,9931,703.31,4701,152.21,268.11,121.81,051.9972892.8783.5683.7754.5677.2624.6
Overige gereserveerde algehele resultaten -237.866-266.223-154.052-153.254-216.026-243.096-194.759-359.326-254.573-158.93167.723-54.906-47.5150.16184.84210.816217.64848.85257.778195.22119.673-38.82-149.465-109.579-79.9-710.5-691.7-612-551.2-469.5000000000
Overige totale aandeelhoudersvermogen -5,910.995-5,930.125-5,361.122-5,328.239-5,221.123-5,061.546-4,134.554-4,025.261-4,043.607-3,471.019-2,900.183-2,479.21-1,901.643-1,725.987-1,701.598-1,751.023-1,386.483-902.05-972.995-944.268-957.326-968.833-963.592-938.109-947.7628.4692631.7626.7197.3-251.8-247-143.6-105.1-36.757.4-82.6-49.50.9
Totaal eigen vermogen van aandeelhouders 5,106.6054,286.3664,189.5283,385.7733,032.662,768.6664,383.183,799.7463,644.5753,700.7255,377.3964,919.234,930.5554,526.5624,083.6083,792.8663,946.1733,811.0223,329.5233,118.6822,742.6712,394.6232,519.5392,441.5752,038.81,910.91,703.61,489.71,227.7995.9870804.9828.4787.7746.8741.1671.9627.7625.5
Totaal eigen vermogen 5,106.6054,286.3664,189.5283,385.7733,032.662,768.6664,383.183,799.7463,644.5753,700.7255,377.3964,919.234,930.5554,526.5624,083.6083,792.8663,946.1733,811.0223,329.5233,118.6822,742.6712,394.6232,519.5392,441.5752,038.81,910.91,703.61,489.71,227.7995.9870804.9828.4787.7746.8741.1671.9627.7625.5
Totaal passiva en aandeelhoudersvermogen 11,348.51310,896.51910,403.6279,152.0748,669.4778,365.77110,657.65310,115.9918,619.7639,090.38510,761.72910,443.9439,501.458,562.8947,807.5767,867.3048,069.777,626.6586,573.0325,792.1795,133.7524,437.3854,602.2024,892.1164,131.93,627.33,277.52,993.42,666.72,070.61,773.71,426.11,356.61,468.41,406.41,365.61,150.21,029.81,017