FedEx Corporation

NYSE:FDX

271.18 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,5016,8236,8977,0874,8812,3193,2653,9693,5343,7632,9084,9172,8432,3281,9522,2921,5391,5691,9371,0391,046538331121.30267.959325.323229.565160.993.4357.5392.9155.578.2117.798.5157.354.921.7185
Kortetermijnbeleggingen 3603020000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 6,5016,8236,8977,0874,8812,3193,2653,9693,5343,7632,9084,9172,8432,3281,9522,2921,5391,5691,9371,0391,046538331121.30267.959325.323229.565160.993.4357.5392.9155.578.2117.798.5157.354.921.7185
Nettovorderingen 10,55010,18811,86311,97710,1029,1168,4817,5997,2525,7195,4605,0444,7044,5814,1633,3914,3593,9423,5163,2973,0272,6272,4912,506.0442,547.0432,153.1661,943.4231,8781,271.61,130.31,020.5922.7899.8924.8997.8767.3491.3399.3347
Voorraad 614604637587572553525514496498463457440437389367435338308250249228251269.269255.291291.922364.714339.4222.1193.3174164.1158.1154.9110.683.648.839.949.3
Overige vlottende activa 5429629689298281,0981,0705467073553303231,0699397801,066911780703683648548592552.446414.451370.617342.4368.448.672.261.3197.469.985.4108.591.93546.632
Totaal vlottende activa 18,20718,57720,36520,58016,38313,08613,34112,62811,98910,9419,68311,2749,0568,2857,2847,1167,2446,6296,4645,2694,9703,9413,6653,449.0613,284.7443,141.0282,880.1322,643.71,728.31,869.11,761.71,439.71,2061,282.81,315.41,100.1630507.5613.3
Niet-vlottende activa:
Materiële vaste activa, netto 58,60658,04554,70451,13547,52530,42928,15425,98124,28420,87519,55018,48417,24815,54314,38513,41713,47812,63610,7709,6439,0378,7008,3028,100.0557,083.5276,559.2175,935.055,470.44,116.63,715.23,449.13,476.33,411.33,6243,566.33,431.82,231.91,861.41,551.8
Goodwill 6,4236,4356,5446,9926,3726,8846,9737,1546,7473,8102,7902,7552,3872,3262,2002,2293,1653,4972,8252,8352,8021,0631,0631,082.223500.547344.002356.272000000000000
Immateriële activa 1812343013523224164805291,00820757720001,1719191,2381,2821,3851,198000000370.3380.7397.3415.2432.2487.8521.1588.9593.9000
Goodwill en immateriële activa 6,4236,4356,5446,9926,3726,8847,4537,1547,7553,8102,7902,7552,3872,3262,2003,4004,0844,7354,1074,2204,0001,0631,0631,082.223500.547344.002356.272370.3380.7397.3415.2432.2487.8521.1588.9593.9000
Langetermijnbeleggingen 77-4,4890-1,418-1,347-1,340-1,263-675-435000000000-1,367-1,20600-5990000000000000000
Belastingvorderingen 1,3134,4894,0931,4181,3471,3401,2636754350000000001,3671,206005990000000000000000
Overige niet-vlottende activa 2,3814,0532884,0703,2574,0043,3822,7892,0361,4431,0471,0541,2121,2311,03331182701,3491,2721,1271,681782708.673658.293603.964514.606559.9473.4451.8366.5444.9358.1244.6204.5167.6146.6130.6111.3
Totaal niet-vlottende activa 68,80068,53365,62962,19757,15441,31738,98935,92434,07526,12823,38722,29320,84719,10017,61817,12818,38917,37116,22615,13514,16411,44410,1479,890.9518,242.3677,507.1836,805.9286,400.64,970.74,564.34,230.84,353.44,257.24,389.74,359.74,193.32,378.51,9921,663.1
Totaal activa 87,00787,11085,99482,77773,53754,40352,33048,55246,06437,06933,07033,56729,90327,38524,90224,24425,63324,00022,69020,40419,13415,38513,81213,340.01211,527.11110,648.2119,686.069,044.36,6996,433.45,992.55,793.15,463.25,672.55,675.15,293.43,008.52,499.52,276.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,1893,8154,0303,8413,2693,0302,9772,7522,9442,0661,9711,8791,6131,7021,5221,3722,1952,0161,9081,7391,6151,1681,1331,255.2981,120.8551,133.9521,145.41999.8705.5618.6518.8554.1430.1446.6454.40000
Kortlopende schulden 2,5312,5162,5252,3541,9749641,3422229191251417182626535026398503697503086221.3926.53714.938257.529356.78255.4198.2133.8155.3202.770.169.269.160.473
Belastingschulden 33430553263741730433428331132833936800000000000000188.5159.2153.9137130.800000000
Uitgestelde opbrengsten 004,0930000000000000003,4074,3653,9823,0272,9360000159.2153.9137130.800000000
Overige kortlopende verplichtingen 7,6357,2223,6267,4655,1015,0195,3085,1465,0353,8723,3403,6203,3443,1622,8612,4992,6712,773-692-1,739-1,615-1,168-1,1331,772.8261,763.6341,635.8671,400.9918.2639.1639.5602.3761.4799.5844.5715.71,019.8502.9443.3358.9
Totaal kortlopende verplichtingen 13,35513,55314,27413,66010,3449,0139,6277,9208,0085,9575,3125,7505,3744,8824,6454,5245,3685,4285,4734,7344,7323,3352,9423,249.5162,891.0262,784.7572,803.8392,433.91,506.51,650.51,450.11,449.31,384.91,493.81,240.21,089572503.7431.9
Langlopende verplichtingen:
Langetermijnschulden 19,72235,81634,66934,10834,14716,61715,24314,90913,8387,2494,7362,7391,2501,6671,6681,9301,5062,0071,5922,4272,8371,7091,8001,900.1191,776.2531,359.6681,385.181,5981,325.31,324.71,632.21,882.31,797.81,826.82,148.12,138.9838.7744.9561.7
Uitgestelde opbrengsten niet-vlottend 15,0536,46905,9317,123991211371551812062272512462672893153433734004264550000190.1145.6111.9127.986.400000000
Uitgestelde belastingverplichtingen niet-vlottend 4,4824,4894,0933,9273,1622,8212,8672,5271,5671,7472,1141,6528361,3368911,0711,2648971,3671,2061,181882599455.591344.613293.462274.147181.864563.672.5123.7217.4298.2571.9057.722.8
Overige niet-vlottende verplichtingen 6,8136958,0199834668,0965,0566,9868,7126,9425,4255,8017,4654,0343,6202,8042,6542,6692,3742,0491,9221,7161,9261,834.3661,729.9761,546.6321,071.5641,183.81,115.21,028.7895.5717.6577.1465.9339.40.1267.1114.3168.3
Totaal niet-vlottende verplichtingen 46,07047,46946,78144,94944,89827,63323,28724,55924,27216,11912,48110,4199,8027,2836,4466,0945,7395,9165,7066,0826,3664,7624,3254,190.0763,850.8423,199.7622,920.9913,109.22,616.42,537.32,617.72,672.42,498.62,510.12,785.72,710.91,105.8916.9752.8
Totaal passiva 59,42561,02261,05558,60955,24236,64632,91432,47932,28022,07617,79316,16915,17612,16511,09110,61811,10711,34411,17910,81611,0988,0977,2677,439.5926,741.8685,984.5195,724.835,543.14,122.94,187.84,067.84,121.73,883.54,003.94,025.93,799.91,677.81,420.61,184.7
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 323232323232323232323232323231313131313030303029.85729.85729.79914.74114.85.75.65.600000000
Ingehouden winsten 38,64935,25932,78229,81725,21624,64824,82320,83318,37116,90020,42918,51917,13415,26613,96612,91913,00211,97010,0688,3637,0016,2505,4654,879.6474,295.0413,615.7972,972.0772,621.51,766.61,466.41,162.2969.5906.61,015.21,010.1901.4726536.4598.2
Overige gereserveerde algehele resultaten -1,359-1,327-1,103-732-1,147-865-578-415-169172-3,694-3,820-4,953-2,550-2,440-1,373-425-1,030-24-17-46-30-53-55.833-36.074-24.6880000000000000
Overige totale aandeelhoudersvermogen -9,740-7,876-6,772-4,949-5,806-6,058-4,861-4,377-4,450-2,111-1,4902,6672,5142,4722,2542,0491,9181,6851,4361,2121,0511,0381,1031,046.749496.4191,042.784974.412864.9803.8773.6756.9701.9673.1653.4639.1592.1604.7542.5493.5
Totaal eigen vermogen van aandeelhouders 27,58226,08824,93924,16818,29517,75719,41616,07313,78414,99315,27717,39814,72715,22013,81113,62614,52612,65611,5119,5888,0367,2886,5455,900.424,785.2434,663.6923,961.233,501.22,576.12,245.61,924.71,671.41,579.71,668.61,649.21,493.51,330.71,078.91,091.7
Totaal eigen vermogen 27,58226,08824,93924,16818,29517,75719,41616,07313,78414,99315,27717,39814,72715,22013,81113,62614,52612,65611,5119,5888,0367,2886,5455,900.424,785.2434,663.6923,961.233,501.22,576.12,245.61,924.71,671.41,579.71,668.61,649.21,493.51,330.71,078.91,091.7
Totaal passiva en aandeelhoudersvermogen 87,00787,11085,99482,77773,53754,40352,33048,55246,06437,06933,07033,56729,90327,38524,90224,24425,63324,00022,69020,40419,13415,38513,81213,340.01211,527.11110,648.2119,686.069,044.36,6996,433.45,992.55,793.15,463.25,672.55,675.15,293.43,008.52,499.52,276.4