Evergy, Inc.

NYSE:EVRG

61.55 (USD) • At close January 3, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 27.725.226.2144.923.2160.33.4323.0663.2314.5564.4875.8293.5390.9283.8622.9145.75318.19640.96924.61179.559123.00696.6918.76215.816.476.63.72.42.7
Kortetermijnbeleggingen 41.7000000000008.1813.00533.159000000000000000
Liquide middelen en kortetermijnbeleggingen 27.725.226.2144.923.2160.33.4323.0663.2314.5564.4875.82911.71913.93337.01922.9145.75318.19640.96924.61179.559123.00696.6918.76215.816.476.63.72.42.7
Nettovorderingen 610.4683.6568.6336.8653626.7290.7301.579258.286267.327250.036224.439231.762244.379261.386235.578195.785195.001126.276183.37780.97294.747112.864152.165229.2222.7325319257.3219.8
Voorraad 776.2672.9566.7504.5481.6511293.562300.125301.294247.406239.511249.016229.118206.867193.831204.297192.533147.93101.818124.563136.636152.392145.099101.303112.495.686.4135.3140.8140.1
Overige vlottende activa 374.8460.3548.8638.1309.9383139.3163.612154.33181.633212.764163.218169.166149.435137.246280.342273.608175.593206.55790.051786.068248.25155.364252.018245.6345.3100.836.42127.9
Totaal vlottende activa 1,789.11,8421,710.31,624.31,467.71,681727.05768.382717.141700.922706.798643.075633.585601.609629.482743.131667.679536.72475.62415.941,083.235618.395510.018514.248603680588.8494.4421.5390.5
Niet-vlottende activa:
Materiële vaste activa, netto 23,728.722,277.221,150.420,105.919,346.418,951.79,730.0349,506.2638,793.1418,441.4817,848.5427,335.746,745.4165,964.4395,771.745,533.5214,803.6724,071.6073,947.7323,910.9873,909.53,995.3714,042.8523,993.4383,889.43,795.13,786.54,356.54,356.44,298.3
Goodwill 2,336.62,336.62,336.62,336.62,336.62,338.9000000000000000000000000
Immateriële activa 000000000000000000000000000000
Goodwill en immateriële activa 2,336.62,336.62,336.62,336.62,336.62,338.900000000000000041.847884.786976.102000000
Langetermijnbeleggingen 766.4653.3768.7652.1573.2472.1237.102200.122184.057185.016175.625150.754130.27136.462122.921000000000000000
Belastingvorderingen 1,268.11,996.61,991.11,868.21,740.536.3000000000000000000000000
Overige niet-vlottende activa 3,623.4384.2563.4527.7511.52,118.1930.1821,012.3071,011.3271,019.582866.1461,135.6621,173.581,377.1281,001.341,166.607924.079846.848786.717758.784741.771,787.4862,075.4092,283.423,515.83,476.32,601.71,796.9712.8500.8
Totaal niet-vlottende activa 30,455.127,647.926,810.225,490.524,508.223,917.110,897.31810,718.6929,988.5259,646.0798,890.3138,622.1568,049.2667,478.0296,896.0016,700.1285,727.7514,918.4554,734.4494,669.7714,651.275,824.7047,003.0477,252.967,405.27,271.46,388.26,153.45,069.24,799.1
Totaal activa 32,244.229,489.928,520.527,114.825,975.925,598.111,624.36811,487.07410,705.66610,347.0019,597.1119,265.2318,682.8518,079.6387,525.4837,443.2596,395.435,455.1755,210.0695,085.7115,734.5056,443.0997,513.0657,767.2088,008.27,951.46,9776,647.85,490.75,189.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 616.9600.8639.7654528.8451.5204.2220.522220.969219.351233.351180.825187.428187.954112.211195.683278.299150.424109.807105.59392.99484.168122.968177.067132.834127.8151.2180.5149.2130.6
Kortlopende schulden 2,119.12,152.21,890.11,150.71,184.31,839.3304.234518.542278.609285.533412.079365.142314.414256.916244.105321.266180.55816010065186.941291.294383.12976.825817.088478.3257.7980.7219.5308.3
Belastingschulden 156.7163150.4143.8145.1133.687.72785.72983.77374.35669.74258.62452.45145.53446.931000000000000000
Uitgestelde opbrengsten 00340.3362.9338.7133.6214.25211.133205.028199.034193.803178.258129.888123.305123.88600192.752240.260542.52100483.783401.200190.81710
Overige kortlopende verplichtingen 619.9577.8422.7407.3477.7442.8227.556222.4253.584270.391240.227241.55272.994292.442279.231355.46285.906352.752340.26247.981731.401429.251391.385560.608401.273428.7331.4190.9-0.1217.1
Totaal kortlopende verplichtingen 3,512.63,493.83,102.92,355.82,335.92,867.2823.7171,047.193836.935849.631955.399846.141827.287782.846682.478872.409744.763663.176550.067418.5741,020.715804.713903.381814.51,351.21,034.8774.81,352.1539.6656
Langlopende verplichtingen:
Langetermijnschulden 11,154.110,006.59,405.79,308.98,895.82,843.71,753.5872,439.8232,297.3442,330.4712,377.9462,038.8782,740.3922,776.5472,600.0342,310.4472,013.6351,563.2651,562.991,639.9012,051.3462,720.7572,978.453,237.8492,883.0663,063.12,181.91,681.61,391.31,357
Uitgestelde opbrengsten niet-vlottend 100.804,524.74,689.93,868.73,843.72,015.3271,060.0561,004.7031,051.633785.8141,003.136965.65597.541108.532000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 3,5361,996.61,861.91,664.81,744.41,599.2815.7431,752.7761,591.431,475.4871,361.4181,197.8371,274.6381,203.971,092.2381,064.306956.912967.979976.693996.0441,039.62811.879924.178919.807982.5938.71,065.61,235.91,299.8971
Overige niet-vlottende verplichtingen 4,255.74,325.1202.2190.2585.8236.783.09983.32688.825104.25869.92474.33674.138808.361775.416-3,374.753-2,970.547-2,656.261-2,670.196-2,626.564-3,090.966-3,532.636-0.068-4,157.656-49.966-4,001.8-3,247.5-2,917.5-2,691.1-2,328
Totaal niet-vlottende verplichtingen 19,046.616,502.816,175.916,040.515,094.712,740.26,940.2146,606.6916,196.7686,196.0635,573.1815,508.8355,054.8234,886.4194,576.223,374.7532,970.5475,617.0165,585.1652,635.9453,108.7524,084.7073,902.568,774.3533,815.64,001.83,247.52,917.52,691.12,328
Totaal passiva 22,559.219,996.619,278.818,396.317,430.615,607.47,763.9317,653.8847,033.7037,045.6946,528.586,354.9765,882.115,669.2655,258.6985,235.6794,546.953,894.283,772.633,676.3894,697.7455,409.0835,502.1545,431.1975,914.45,562.84,503.64,728.23,762.73,402.5
Eigen vermogen:
Preferente aandelen 00000000000021.43621.43621.43621.43621.43621.43621.43621.43621.43621.43623.93624.85824.9244.9294.9294.9174.9174.9
Gewone aandelen 7,234.97,219.77,205.57,0807,070.48,685.2710.471708.956706.767658.437641.271632.519628.492560.64545.36541.556477.316436.974434.177430.149364.201364.201431.027350.412341.5329.5327323.1314.3308.1
Ingehouden winsten 2,457.82,298.52,082.91,702.81,551.51,3461,173.2551,078.602945.83855.299724.776606.649501.216423.647360.199318.197264.477185.779109.98755.053-102.782-185.961606.502714.454691823.6914.4562.1540.9498.4
Overige gereserveerde algehele resultaten -29.6-34.5-44-49.4-50-300000000000.1520.101-51.244-10.248-20.458-28.594-49.266-8.40437.89.512.1000
Overige totale aandeelhoudersvermogen 0000002,024.3292,018.3172,004.1241,781.121,696.7271,656.9721,639.5031,398.581,339.791,326.3911,085.099916.605923.083912.932774.363807.04831.862850.1827.394775.3755.1739.4697.9668
Totaal eigen vermogen van aandeelhouders 9,663.19,483.79,244.48,733.48,571.910,028.23,908.1223,805.8753,656.7213,294.8563,062.7742,896.142,790.6472,404.3032,266.7852,207.581,848.481,560.8951,437.4391,409.3221,036.76978.1221,844.0611,931.421,900.32,182.82,3091,919.61,7281,649.4
Totaal eigen vermogen 9,6859,493.39,241.78,718.58,545.39,990.73,860.4373,833.193,671.9633,301.3073,068.5312,910.2552,800.7412,410.3732,266.7852,207.581,848.481,560.8951,437.4391,409.3221,036.761,034.0162,010.9112,336.0112,093.82,388.62,473.41,919.61,7281,787.1
Totaal passiva en aandeelhoudersvermogen 32,244.229,489.928,520.527,114.825,975.925,598.111,624.36811,487.07410,705.66610,347.0019,597.1119,265.2318,682.8518,079.6387,525.4837,443.2596,395.435,455.1755,210.0695,085.7115,734.5056,443.0997,513.0657,767.2088,008.27,951.46,9776,647.85,490.75,189.6