ESCO Technologies Inc.

NYSE:ESE

140.75 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 41.86697.72456.23252.5661.80830.47745.51653.82539.41135.13142.8530.21534.15826.50844.6328.66718.63836.819104.48472.28131.28524.9314.5065.6287.74.25.822.20.32.710.61.6433.9
Kortetermijnbeleggingen 0000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 41.86697.72456.23252.5661.80830.47745.51653.82539.41135.13142.8530.21534.15826.50844.6328.66718.63836.819104.48472.28131.28524.9314.5065.6287.74.25.822.20.32.710.61.6433.9
Nettovorderingen 337.19289.799240.112240.828289.737216.774207.866150.232130.994133.247112.697165.618157.057141.098108.62144.531114.51485.16173.21180.20574.04272.44767.98858.98238.778.5103.286.2100.194.233.5117.2104.3179.2
Voorraad 184.067162.403147.148136.189128.825135.416124.515105.54299.78694.29290.228108.06196.98683.03482.0266.96267.87150.98448.64544.28748.43252.57948.16744.45739.581.645.151.2107.485.689.795.977.1113.5
Overige vlottende activa 17.97222.69622.66217.05314.82413.35614.89513.88412.50213.33715.9317.23719.52329.91224.50815.10834.06310.0428.3948.94728.1898.6520.7699.157.62.82.93.14.16.652.22.219.545.6
Totaal vlottende activa 581.095572.622466.154446.63495.194396.023392.792323.483298.251295.953393.921343.444328.354296.361280.195270.636260.35207.257264.953233.53206.135181.388151.43118.209173.5167.1157162.7211.9189.1186216.9243.9342.2
Niet-vlottende activa:
Materiële vaste activa, netto 195.323185.123186.111161.26161.47134.954132.74892.40577.35876.46575.53675.87673.06772.56369.54372.59178.27768.75467.1969.10371.16968.52265.03862.56371.39896.55491.593.192.391.788.293.6
Goodwill 503.177492.709504.853408.063409.215381.652377.879323.616291.157282.337282.949361.28361.864355.656330.719328.878149.466143.450000102.16300000000000
Immateriële activa 392.124394.464409.25346.632393.047345.353351.134231.759190.748182.063180.2231.473231.848229.736221.6238.22377.24259.20268.8868.94968.653103.283090.9976972.55520.420.520.316.7198.4189.8195.2
Goodwill en immateriële activa 895.301887.173914.103754.695802.262727.005729.013555.375481.905464.4463.149592.753593.712585.392552.319567.101226.708202.65268.8868.94968.653103.283102.16390.9976972.55520.420.520.316.7198.4189.8195.2
Langetermijnbeleggingen 0000000000000000000000000000000000
Belastingvorderingen 000000000000000000010.05516.61826.9538.57300000000000
Overige niet-vlottende activa 11.4959.53810.97710.9387.7947.145.8917.1086.6949.088159.70521.6816.70419.97521.6317.74510.77210.03127.69720.80330.80627.54518.37359.36464.671.769.770.754.14540.334.72619.6
Totaal niet-vlottende activa 1,102.1191,081.8341,111.191926.893971.526869.099867.652654.888565.957549.953698.39690.309683.483677.93643.492657.437315.757281.437163.767168.91187.246226.3224.147212.924204.9242.2221.2145.1166.1158.4149.3324.8304308.4
Totaal activa 1,683.2141,654.4561,577.3451,373.5231,466.721,265.1221,260.444978.371864.208845.9061,092.3281,033.7531,011.837974.291923.687928.073576.107488.694428.72402.44393.381407.688375.577331.133378.4409.3378.2307.8378347.5335.3541.7547.9650.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 86.97378.74656.66950.52571.3763.03354.78942.07437.86340.32838.53754.04954.03759.08847.21849.32954.63439.49629.29932.45534.9439.05135.1831.20626.339.938.240.142.333.941.840.249.855.4
Kortlopende schulden 20202022.36821.26120202020205050505050502.844000.15110.1430.1210.1224.13620.630.125.51.33919.615.13.64.57
Belastingschulden 0000000000000000000000000000000000
Uitgestelde opbrengsten 112.277125.009108.814100.55181.17729.56828.58327.21221.49819.89535.05124.9224.49921.90720.21518.9225.2390031.41130.01326.84527.23300000000000
Overige kortlopende verplichtingen 95.40194.37492.28182.58577.82787.92991.59768.7963.8566.877106.76875.23677.30155.98546.55250.43436.48336.39933.4584.30510.5412.771.53427.14931.336.83135.159.24952.372.661.661.6
Totaal kortlopende verplichtingen 314.651318.129277.764256.029251.635200.53194.969158.076143.211147.1230.356204.205205.837186.98163.985168.683119.275.89562.75768.32285.63768.78764.06962.49178.2106.894.776.5140.5102.5109.2116.4115.9124
Langlopende verplichtingen:
Langetermijnschulden 118.554157.853162.03256.7852652002559030201226575104130.467183.650000.3680.498.2778.3380.6141.950.15011.423.525.18.18.113.618.1
Uitgestelde opbrengsten niet-vlottend 000000000035.11500000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 75.53182.02373.5660.93864.85564.79486.37869.56274.46977.4499.79588.67585.31379.38878.47183.51518.52200000000000000000
Overige niet-vlottende verplichtingen 43.33648.29444.29338.17659.00840.38852.17945.62432.34621.1953.34844.5644.97747.94133.42423.98822.90236.36534.93926.13431.86524.31315.898.619.628.328.528.831.732.543.926.328.525.8
Totaal niet-vlottende verplichtingen 237.421288.17279.885155.899388.863305.182393.557205.186136.815118.635260.258198.235205.29231.329242.362291.15341.42436.36534.93926.50232.35532.5924.2289.2251.578.478.540.255.257.65234.442.143.9
Totaal passiva 552.072606.299557.649411.928640.498505.712588.526363.262280.026265.735490.614402.44411.127418.309406.347459.836160.624112.2697.69694.824117.992101.37788.29771.711129.7185.2173.2116.7195.7160.1161.2150.8158167.9
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000000
Gewone aandelen 0.3080.3070.3070.3060.3060.3050.3050.3040.3040.3020.3010.30.30.2980.2980.2950.2920.290.2870.1420.1390.1360.1340.1320.1000000000
Ingehouden winsten 989.315905.022830.989778.398684.741606.837516.718471.272433.632399.451407.512441.566403.241359.274322.878273.47226.759193.046159.363115.96380.292121.4399.64969.54252.727.3164.2-228.30-66-67.40
Overige gereserveerde algehele resultaten -23.969-31.764-2.161-3.657-43.974-31.528-27.308-39.283-32.538-19.186-16.656-25.378-19.191-14.793-11.5980.5566.303-2.07-5.566-3.698-4.982-9.473-6.518-4.766-1.9-52.3-38.5-26.3-24.7-12.1-112.9-106-95.5-82.5
Overige totale aandeelhoudersvermogen 165.488174.592190.561186.548185.149183.796182.203182.816182.784199.604210.557214.825216.36211.203205.762193.916182.129185.168176.94195.209199.94194.218194.015194.514197.8249.1227.5213.2229191.2287562.9552.8565.2
Totaal eigen vermogen van aandeelhouders 1,131.1421,048.1571,019.696961.595826.222759.41671.918615.109584.182580.171601.714631.313600.71555.982517.34468.237415.483376.434331.024307.616275.389306.311287.28259.422248.7224.1205191.1182.3187.4174.1390.9389.9482.7
Totaal eigen vermogen 1,131.1421,048.1571,019.696961.595826.222759.41671.918615.109584.182580.171601.714631.313600.71555.982517.34468.237415.483376.434331.024307.616275.389306.311287.28259.422248.7224.1205191.1182.3187.4174.1390.9389.9482.7
Totaal passiva en aandeelhoudersvermogen 1,683.2141,654.4561,577.3451,373.5231,466.721,265.1221,260.444978.371864.208845.9061,092.3281,033.7531,011.837974.291923.687928.073576.107488.694428.72402.44393.381407.688375.577331.133378.4409.3378.2307.8378347.5335.3541.7547.9650.6