Dover Corporation

NYSE:DOV

191.18 (USD) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 1,056.8281,065.3761,123.818683.451677.918570.267811.665508.892869.829775.2351,003.129811.07846.365707.908371.895694.758661.08561.782510.142412.755292.927-121.261248.537519.612929378.8405.4390.2278.3202.4158.3129.1128.2155.7144
Afschrijvingen & Amortisatie 317.463307.538290.123279.051272.287282.58394.24360.739327.089307.188421.616357.585303.143268.406258.223261.154245.028201.501175.719160.845151.309161.003219.963203.384183.2167.7170.7125.1107.895.87777.585.477.578.8
Uitgestelde Inkomstenbelasting -99.286-28.138-48.322-25.643-11.966-35.448-170.859-79.414-5.916-33.866-43.064-19.0236.1184.839-23.06233.459-33.269-9.48536.2744.88547.70121.519-2.70317.507-25.6-0.3-15.21-13.7-190.5-3.5-1.81.41.8
Aandelen Gebaseerde Vergoedingen 31.46530.82131.11125.02629.70223.69826.52821.01530.69731.62830.4830.88425.99122.10217.91225.24625.70626.39625.7310000000000000000
Verandering in Werkkapitaal 49.798-585.121-108.466142.296-83.654-82.297-187.27293.61817.334-139.908-197.45688.148-53.70310.336232.98484.61911.4137.952-18.518-9.56671.936-23.264298.641-253.794-123.9-4.9-90.2-38.9-82.328.3-2.2-8.837.7-27-13
Vorderingen 86.501-209.021-201.54122.407-7.903-87.573-104.706-44.64937.916-87.207-92.472-4.549-95.708-195.934163.05436.4276.0186.52111.160000000000000000
Voorraden 145.451-199.033-297.62310.519-56.87-85.052-12.55725.85863.129-63.717-18.256-37.986-46.115-131.47697.24127.12859.19-5.91589.476-59.4724.78974.359137.618-89.396-21-17.3-44.410.6-69.5-22.516.95.320.6-2.136.1
Crediteuren -104.57615.422229.334-95.63618.27106.561124.05158.69542.92560.1769.98873.4672.434104.093-31.306-19.273-20.2666.03847.5330000000000000000
Overig Werkkapitaal -77.578-192.489161.363105.006-37.151-16.233-194.0653.714-126.636-49.16-96.71657.22315.686233.6533.99540.337-33.5291.308-166.68749.90667.147-97.623161.023-164.398-102.912.4-45.8-49.5-12.850.8-19.1-14.117.1-24.9-49.1
Overige Niet-Contante Posten -19.92315.248-172.3990.62961.01930.393-52.743-42.875-289.97412.539-36.02-7.504-69.677-143.04-62.747-88.82-35.011106.565-53.16428.52829.7933.3479.352-247.358646.4-64.4-8.50.10.2-0.1-3.4-1.8-3.48.5-0.2
Kasstroom uit Operationele Activiteiten 1,336.345805.7241,115.8651,104.81945.306789.193821.559861.975949.059952.8161,178.6851,261.161,058.229950.551795.2051,010.416874.947894.711676.184597.447593.666420.073975.527239.3511,609.1476.9462.2411.5303.6314.1225171.9213.9219.9208.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -192.592-220.962-171.465-165.692-186.804-170.994-196.735-165.205-154.251-166.033-236.833-297.012-271.809-183.217-120.009-175.795-174.252-194.735-152.113-107.434-96.4-102.305-166.891-197.901-705.4-675.9-145.8-125.5-103.8-84.9-48.7-47.8-50.4-52.7-70.4
Netto Overnames -533.623-312.855-837.093-320.386-191.469-64.619336.635-1,355.33121.471-610.906-246.381-1,035.433-865.3164.5-218.423-10.987-273.61-1,116.78-1,091.762-506.108-362.062-99.71-274.062-442.65800000000000
Aankoop van Beleggingen 00000000-17.7520009.986-466.881-348.439-279.460000000000000-22-30-2.1-3.10
Verkoop/verval van Beleggingen 0000000014.604000124.41553.466406.0330000000014.1850221.78.931.50016000
Overige Investeringsactiviteiten -0.415-7.10715.8054.699-5.982-9.86736.47316.6921.35-5.61820.163-13.443-18.211-86.82522.97313.248111.799456.482175.43488.6899.86217.94313.43924.221-628.9-99.3-256.4-216.2-283.5-209.4-314-182.235.6-178.5-107.3
Kasstroom uit Investeringsactiviteiten -726.63-540.924-992.753-481.379-384.255-245.48176.373-1,503.843-34.578-782.557-463.051-1,345.888-1,020.94-178.957-257.865-452.994-336.063-855.033-1,068.441-524.853-448.6-184.072-427.514-602.153-1,334.3-753.2-400.5-332.8-355.8-316.3-365.7-214-16.9-234.3-177.7
Financieringsactiviteiten:
Schuldaflossingen -267.49-629.891-105-84.7-805.112-350-182.596-2.017-300.048-6.566-3.246-3.582-402.654-60.855-226.657-599.113-33.478-0.811-257.740000000000000000
Uitgifte van Gewone Aandelen 0000711.819008.43171.3240000-15079.89887.11793.31119.2313.6087.4456.4143.9459.00312.319137.49.95.32.101.52.11.3
Terugkoop van Gewone Aandelen -12.137-599.637-63.561-106.279-143.28-941.231-105.023-15.7-600.164-622.228-457.871-748.955-242.488-123.5550-466.736-596.009-48.329-51.929-5.176-3.746-15.511-32.155-5.87400000000000
Uitgekeerde Dividenden -284.297-287.551-286.896-284.312-282.197-283.57-283.959-268.339-257.969-258.487-247.82-240.959-219.154-200.099-189.874-169.071-154.39-144.799-133.913-126.06-115.504-109.436-105.563-97.468-91.8-89.2-80.3-72.4-63.5-56.1-51.4-49.8-61-45.6-44
Overige Financieringsactiviteiten -16.269626.923100.577-30.999-39.272676.963-205.757903.964-5.029631.79230.395650.554813.79594.72126.578594.118351.087228.918697.19116.6789.623-21.766-411.502504.605-147.1338.2-63.662.2138.482.918281.7-164.631.485.7
Kasstroom uit Financieringsactiviteiten -568.056-260.265-249.88-506.29-558.042-897.838-594.739633.608-1,091.886-255.489-678.542-342.942-50.501-304.788-389.953-560.904-345.673128.29272.839-100.95-102.182-140.299-545.275410.266-226.6268-130.9-2.884.832.1132.731.9-224.1-12.143
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -6.666-9.171-0.803-1.319-1.97710.6451.625-4.779-26.061-40.426-3.30116.11215.9910.0319.569-45.81734.35619.816-18.48712.15533.67123.415-7.521-4.103-72-62.5-1.2-3.2140.742.1-19714.4-30.6
Netto Kasstroomverandering 34.993-4.636-127.571115.8221.032-357.743404.818-13.039-319.396-122.3013.806-406.67917.676472.996166.956-58.696227.567187.784-137.905-16.20176.555119.117-4.78343.36141.2-6.3-75.278.431.426.7132.731.9-224.1-12.143
Kaspositie aan het Einde van de Periode 415.861380.868385.504513.075397.253396.221753.964349.146362.185681.581803.882800.0761,206.7551,187.361714.365547.409602.412373.616191.15357.606370.379294.448175.865181.39913896.8124.8200.1121.790.4204.3113.7-115.2123.3104.8