Ford Motor Company

NYSE:F

10.97 (USD) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Operationele Activiteiten:
Nettowinst 4,329-2,15217,910-1,276843,6957,6284,6077,3713,1867,1555,66520,2136,5612,717-14,672-2,723-12,6132,2283,634921284-5,4535,4107,23722,0716,9204,4464,1395,3082,529-501.8-2,258860.13,8355,300.2
Afschrijvingen & Amortisatie 6,5236,4935,9607,4578,4908,3088,4538,7177,9667,4236,4565,2044,2565,5846,93112,925016,5196,72213,05214,29715,17719,75014,84915,19314,32913,58312,79111,7199,3363,0646,755.75,778.33,184.94,228.72,457.6
Uitgestelde Inkomstenbelasting -1,649-1,910-563-269-1,370-197-2321,4782,1201,063-8611,989-450000007874,2832,059-782-1,71900000000-114.1-1,014.6-483.2-41.60
Aandelen Gebaseerde Vergoedingen 46033630519922819124621019918015914017100000000000000000000000
Verandering in Werkkapitaal 1,163-7,0514,70118,9986,2041,3061,9971,476-2,050-246-3,136-2,538-13,045-8081,970-9,9600-1,192-1,637-5,421-1,5776,0735,8331,3808904,3315,0445,1202,2744,03602,952.32,883.5-213.92,120.20
Vorderingen -7,447-11,7436,51512,041738-4,647-3,133-4,304-8,653-5,105-1,969-1,62207652,2441,0910000000-1,204-1,438-16277-2,1831290000000
Voorraden -1,219-2,576-1,778148206-828-959-815-1,155-875-572-1,401-367-9032,333-3580-695-76-112-505-6501,122-1,369893-2541,234553-46-8940380.178.2320.3-219.10
Crediteuren 9,8297,268-366,8095,2606,7816,0896,5957,7585,7340000-1,803-12,64700000000000000000000
Overig Werkkapitaal 7,8826,521-1,4116,5044,4854,5593,8573,7393,4950-595485-12,678-670-8041,9540-497-1,561-5,309-1,0726,7234,7113,9531,4354,7473,7336,7502,1914,93002,572.22,805.3-534.22,339.30
Overige Niet-Contante Posten 4,09211,137-12,526-8404,0031,71943,3045642,901671-1,415-1,3611404,42411,52819,8236,8976,8547,6151,8071174912,1256,491-17,6312,087-3,1003,039-2,0518,414561.62,731.2286.3-271.22,676.3
Kasstroom uit Operationele Activiteiten 14,9186,85315,78724,26917,63915,02218,09619,79216,17014,50710,4449,0459,78411,47716,042-17917,1009,61121,67924,51420,19518,63322,76433,76429,81123,10027,63419,25721,17116,62914,00711,515.78,120.47,413.89,524.510,434.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -8,236-6,866-6,227-5,742-7,632-7,785-7,049-6,992-7,196-7,463-6,597-5,488-4,293-4,092-4,561-6,696-6,022-6,848-7,517-9,237-7,749-7,278-8,420-10,455-8,535-10,407-9,675-10,410-10,456-9,470-6,814-5,789.5-5,847.3-31,227.3-133,562-90,221.6
Netto Overnames -2,733-2891451,3407,6327,7857,0496,9927,196-4779257-35,602-27,917-26,010-37,721-54,471-59,737-2,031-30281-83,941-2,735-2,774-8,225-344-40-166-8,997230884314.7273.4673.100
Aankoop van Beleggingen -8,728-17,458-27,763-39,947-17,586-17,140-27,567-31,428-41,279-48,694-120,210-95,135-68,723-100,150-78,789-64,754-11,423-23,678-6,278-8,470-10,074-4,055-13,223-5,959-4,509-2,860-3,110-8,026-6,325-11,100-114,234-63,313.8-6,168.7-116,929.6-7,373.1-75,128.4
Verkoop/verval van Beleggingen 12,70019,21133,22932,39516,92920,88529,99830,17940,90050,545118,24793,01270,795101,07776,32264,57918,66018,4566,1548,4149,3823,92414,5315,4953,4522,8613,5339,8705,37710,160114,35361,797.619,370.5130,131.636,675.775,282.7
Overige Investeringsactiviteiten -10,6311,0553,361-6,661-13,064-20,006-21,823-24,103-25,783-15,035-11,180-6,93634,78237,99039,50741,44946,77346,94317,129-5,5281,83587,730-7,322-22,458-22,465-21,546-26,784-23,075-15,106-26,586-17,646-5,819.7-15,8113,556.394,989.271,650.9
Kasstroom uit Investeringsactiviteiten -17,628-4,3472,745-18,615-13,721-16,261-19,392-25,352-26,162-21,124-19,731-14,290-3,0416,9086,469-3,143-6,483-24,8647,457-14,851-6,325-3,620-17,169-36,151-40,282-32,296-36,076-31,807-35,507-36,766-23,457-12,810.7-8,183.1-13,795.9-9,270.2-18,416.4
Financieringsactiviteiten:
Schuldaflossingen -41,965-45,655-54,164-60,514-1,107-5,958-40,770-38,797-33,358-28,859-27,953-29,210-43,095-49,379-61,894-46,299-39,431-15,832000-14,938-687-18,435-29,854-18,231-18,883-15,459-11,666-14,1630000-3,029.10
Uitgifte van Gewone Aandelen 50,1200000047,03049,82550,50636,17337,61633,64401,3392,450756250431325095,1874535923361577632,0896017157691,607.52,684.82501,4350
Terugkoop van Gewone Aandelen -335-48400-237-164-131-145-129-1,964-213-1250000-31-1830-1510-177-1,838-1,821-707-1,08929,80327,65528,576-1450000-894.5-816
Uitgekeerde Dividenden -4,995-2,009-403-596-2,389-2,905-2,584-3,376-2,380-1,952-1,574-76300000-468-738-732-733-743-1,929-2,751-2,290-5,348-2,020-1,800-1,559-1,205-1,086-977.4-926.7-1,488.6-1,853.5-1,193.5
Overige Financieringsactiviteiten -24150,65931,06963,425-1,610-3,011-151-49-3172525715938,85423,61936,48536,43968,00231,325-20,238-8,982-4,4083381,02526,18644,72830,517-463-90752532,37011,261-514.3-2889,013.52,382.110,314.8
Kasstroom uit Financieringsactiviteiten 2,5842,511-23,4982,315-3,129-1223,3947,45814,3223,4238,1333,705-4,241-24,421-22,959-9,104-5,24215,273-20,651-9,865-5,132-10,333-2,9763,77112,2136,0069,20011,57816,47717,57210,944115.81,470.17,774.9-1,9608,305.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -104-414-23222545-370489-265-815-517-3751-159-53470-8081,014464-496505811373-252-914-34892-91-2017956342-267.9-42-46.3402.1482.7
Netto Kasstroomverandering -2304,603-5,1988,194834-1,7312,5871,6333,515-3,711-1,191-1,4892,343-6,089-608-13,2346,3874847,9893039,5495,0532,3674701,394-3,098667-1,1732,220-2,0021,536-1,447.11,365.41,346.5-1,303.6805.7
Kaspositie aan het Einde van de Periode 25,11025,34020,73725,93517,74116,90718,49215,90514,27210,75714,46815,65917,14814,80521,44122,04935,28328,89431,49923,51121,77012,2507,2184,8516,2304,8367,9347,2678,4406,2208,2226,686.18,133.26,767.85,421.36,724.9