Equifax Inc.

NYSE:EFX

255.98 (USD) • At close December 27, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 216.8285.2224.71,684.6401.3223.6336.4129.393.3128.3235.9146.8127.7119.4103.158.281.667.837.552.139.330.533.289.413136.690.652.349.926.179.485.684105.16814.56.18.56.82.5
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 216.8285.2224.71,684.6401.3223.6336.4129.393.3128.3235.9146.8127.7119.4103.158.281.667.837.552.139.330.533.289.413136.690.652.349.926.179.485.684105.16814.56.18.56.82.5
Nettovorderingen 908.2857.7727.6630.6532.1469.1444.8433.3349.8337.2309.7317284.4262.6258.7253.4295.8244.8216204188.7200.6266.2449.444390.682353.1270.7227.5258.3242.6191.8164.6172.8190.5152.9128.4110.610091.3
Voorraad 0134.3108.4104.188.110094.360.239.335.734.526.224.626.127.622.925.821.519.613.215.520.926.40000000000000000
Overige vlottende activa 231.3227.6168.6163.1276209.6217.2110.3118.5139.6102.865.940.247.25542.247.632.626.943.542.433.632.266.05282.176.777.981.482.353.925.530.4266610.814.66.26.99.5
Totaal vlottende activa 1,356.31,370.51,120.92,478.31,209.4902.3998.4672.9561.6605.1648.4529.7452.3429.2416.8353.8425345.2280.4299.6285.9285.6358604.909609.4520.4400.9437366.7375.9302.9279303.9324.5178.2149.1125.3113.7103.3
Niet-vlottende activa:
Materiële vaste activa, netto 1,8341,5871,315.91,139.4947.6764.8567466.9366.8300.6288.9283.7292.9298.4319.3286.3259.5161.9137141.84750.655.298.811115.5119.394.7122.387.884.2127.9146.8143.1151.9127.9116.779.970.751.2
Goodwill 6,829.96,383.96,258.14,495.84,308.34,129.74,1843,974.32,5712,606.82,395.12,290.41,961.21,914.71,943.21,7601,834.68420747.5724.3650.500000000000000000
Immateriële activa 1,953.61,913.31,992.91,092.71,139.51,1941,3421,418.6922.61,049.11,068.71,242.2645.8689.5782.5777.3860.2337.41,149.61,028.8724.3650.5516.5717.939612.6719.7365.4433.8353.6331.4121.7111.5106.7109100.780.326.424.924.7
Goodwill en immateriële activa 8,783.58,297.28,2515,588.55,447.85,323.75,5265,392.93,493.63,655.93,463.83,532.62,6072,604.22,725.72,537.32,694.81,179.41,149.61,028.8724.3650.5516.5717.939612.6719.7365.4433.8353.6331.4121.7111.5106.7109100.780.326.424.924.7
Langetermijnbeleggingen 074.5-358.2-332.3-248-316.2-305.1-325.4-205.5-241.5-263.7-227.7-227.8-244.2-249.3-207-277.1-70.8-1.7-13.2-15.5-20.900000000000000000
Belastingvorderingen 0460.3358.2332.3248316.2305.1325.4205.5241.5263.7227.7227.8244.2249.3215.3277.170.81.713.215.520.900000000000000000
Overige niet-vlottende activa 306.2-241.6353.1405.6304.2162.4142131.387112.6138.8165.1156.4101.888.774.6144.6104.1264.587496.1520.2492.9647.978502.3469.4316.1309.7245.6229.7178.7171.6162.4168.9144.374.542.138.841.9
Totaal niet-vlottende activa 10,923.710,177.49,9207,133.56,699.66,250.96,2355,991.13,947.44,069.13,891.53,981.43,056.33,004.43,133.72,906.53,098.91,445.41,551.11,257.61,267.41,221.31,064.61,464.7281,230.41,308.4776.2865.8687645.3428.3429.9412.2429.8372.9271.5148.4134.4117.8
Totaal activa 12,28011,547.911,040.99,611.87,9097,153.27,233.46,6644,5094,674.24,539.94,511.13,508.63,433.63,550.53,260.33,523.91,790.61,831.51,557.21,553.31,506.91,422.62,069.6371,839.81,828.81,177.11,302.81,053.71,021.2731.2708.9716.1754.3551.1420.6273.7248.1221.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 197.6250.8211.6159.1148.3175.7110.38140.620.319.925.127.524.635.929.931.123.55.99.713.416.513.216.797177.427107.394.771.862.253.638.732.227.538.780000
Kortlopende schulden 963.4967.2824.81,101.13.14.9965.3585.449.3380.4296.5283.347.220.7212.231.9222.133092.3255.7160.5233.96254.60979.947.41360.520.463.71.61.243.415.94744.10.113.59.7
Belastingschulden 000000000000000000000000000000000000000
Uitgestelde opbrengsten 109.5132.9121.3108.310498108.4110.796.873.461.857.955.858.769.865.769.962.749.29.81211.700000000000000000
Overige kortlopende verplichtingen 748.5664.31,133.61,114.61,103.7548.2489.5482.5417.1349284.3280.2232.3215.5174.3190.5223.8165.9147.1191.5180.9177.5200.7354.818247.473264.5219.9242.4168182.7113.595.48298.981.973.565.754.269
Totaal kortlopende verplichtingen 2,0192,015.22,291.32,483.11,359.1826.81,673.51,259.6603.8823.1662.5646.5362.8319.5492.2318546.9582.1294.5456.9354.8427.9275.9426.224504.8419.2327.6374.7250.6300153.8128.8152.9153.5136.9117.665.867.778.7
Langlopende verplichtingen:
Langetermijnschulden 4,747.84,820.14,470.13,277.33,379.52,630.61,7392,086.81,138.41,145.71,145.51,447.4966978.9848.41,187.41,165.2173.9463.8398.5663690.6693.6993.569933.7869.5339.3306302.7212200.1191.777.1143.188.930.230.220.120.4
Uitgestelde opbrengsten niet-vlottend 0460.3130.1130.7118.9139.3175.8184.4146.417372.4176.3176.4129142.516600000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 474.9460.3358.2332.3248316.2305.1325.4205.5241.5263.7227.7227.8244.2249.3215.3277.170.8126.138.644.325.988.690.19873.150.100006.514.319.753.648.440.341.342.421.1
Overige niet-vlottende verplichtingen 350.8279320.1308.8299.5223.9276.8270.9203.4470.8127.2458457.7297.860.6227.2135.5125.7126.8139.6119.7141.5121176.068112.6123.5160.8197.2147147.3116.8116.1116.130.829.87.611.195.5
Totaal niet-vlottende verplichtingen 5,573.55,559.45,148.43,918.43,9273,170.72,320.92,683.11,554.81,616.51,536.41,905.41,423.71,405.71,443.31,629.91,577.8370.4716.7576.7827858903.21,259.8351,119.41,043.1500.1503.2449.7359.3323.4322.1212.9227.5167.178.182.671.547
Totaal passiva 7,592.57,574.67,439.76,401.55,286.13,997.53,994.43,942.72,158.62,439.62,198.92,551.91,786.51,725.21,935.51,947.92,124.7952.51,011.21,033.61,181.81,285.91,179.11,686.0591,624.21,462.3827.7877.9700.3659.3477.2450.9365.8381304195.7148.4139.2125.7
Eigen vermogen:
Preferente aandelen 0000000000000000000000175119.75346.300000000000000
Gewone aandelen 236.6236.6236.6236.6236.6236.6236.6236.6236.6236.6236.6236.6236.6236.6236.6236.5235.6232.9231.5227.5225.5225.1223219.989217.800000000000000
Ingehouden winsten 5,608.65,2564,751.64,185.44,131.84,717.84,600.64,153.23,834.43,554.83,309.23,064.62,879.22,725.72,494.22,2812,0301,778.61,525.11,298.81,079925.4758.8902.475726.8562.9415.1396.3270175.9102.781.238.776.241.28866.65139
Overige gereserveerde algehele resultaten -431.2-473.7-295.4-171.4-631.6-626.3-412-528.9-484.8-435.4-312.6-362-391.8-344.5-318.7-390.6-228.2-232.2-220.7-336.2-370-441.8-287-296.458-217.4-151-124.7-164.6-148.90000000000
Overige totale aandeelhoudersvermogen -879.9-1,062.4-1,108.4-1,082.2-1,158.2-1,220.3-1,250.8-1,198.2-1,275.3-1,155.9-932.5-1,006-1,021.6-926.4-810.9-814.5-695.9-941.2-715.6-666.5-563-929.5-451.3-796.51-604.281-45.459193.2232.3186151.3176.8311.6297.1205.9136.958.757.956.4
Totaal eigen vermogen van aandeelhouders 4,534.13,956.53,584.43,168.42,578.63,107.83,174.42,662.72,310.92,200.12,300.71,933.21,702.41,691.41,601.21,312.41,399.2838.1820.3523.6371.5221243.5383.578215.6366.5349.4424.9353.4361.9254258350.3373.3247.1224.9125.3108.995.4
Totaal eigen vermogen 4,687.53,973.33,601.23,210.32,622.93,155.73,2392,721.32,350.42,234.62,3411,959.21,722.11,708.41,6151,312.41,399.2838.1820.3523.6371.5221243.5383.578215.6366.5349.4424.9353.4361.9254258350.3373.3247.1224.9125.3108.995.4
Totaal passiva en aandeelhoudersvermogen 12,28011,547.911,040.99,611.87,9097,153.27,233.46,6644,5094,674.24,539.94,511.13,508.63,433.63,550.53,260.33,523.91,790.61,831.51,557.21,553.31,506.91,422.62,069.6371,839.81,828.81,177.11,302.81,053.71,021.2731.2708.9716.1754.3551.1420.6273.7248.1221.1