FedEx Corporation

NYSE:FDX

271.18 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 4,3253,9723,8265,2311,2865404,5722,9971,8201,0502,0971,5612,0321,4521,184981,1252,0161,8061,449838830710584.371688.336631.333498.155361.2307.8297.6204.4109.8-113.85.9115.8
Afschrijvingen & Amortisatie 4,2874,1763,9703,7933,6153,3533,0952,9952,6312,6112,5872,3862,1131,9731,9581,9751,9461,7421,5481,4621,3751,3511,3641,275.7741,154.8631,035.118963.731-777.4-719.6-652.3-599.4-579.9-577.2-534.5-479.2
Uitgestelde Inkomstenbelasting 0-1822,9312,8871,061-233-23190931-5725815211,1266693312991243718763-832914-16.024-7.363-3445.545.726.5263.819.9-75.264.6101.1
Aandelen Gebaseerde Vergoedingen 163182190200168174167154144133117109105981019910110300000000000000000
Verandering in Werkkapitaal -3,431-3,173-3,119-1,872-4,092-2,491-3,460-2,202-537-437-1,248-535-835-332-578-1,002-828-441-127-98155-85456-10.139-226.248105.75997.235-187.3-140.958.6-71.2-12.499.1109.3-211.2
Vorderingen -270782-310-1,389-1,331-873-1,049-556-199-392-516-451-254-400-906762-447-323-319-235-307-197-8861.702-404.511-294.1-254.3-334.4-191.3-167.3-173.9-41.5-0.720.4-279.6
Voorraden 0001,3891,331873-13578-23425-22257-231-114276-1960-85-38-261039-660-112.476-322.998-512.012-178.458000000-21.9-51.4
Crediteuren -2,553-3,331-1,86171-1,787-571141103467659-23510144370710-6281906634636584127281102.39107.543555.6453.7598100.5258.4110.534.933.6110.8119.8
Overig Werkkapitaal -608-624-948-1,943-2,305-1,920-2,417-1,827-571-729-475-351-494-188-658-940-571-99-116-202-389-968723-61.755393.718356.27176.293-450.9-50.1-32.5-7.8-5.866.200
Overige Niet-Contante Posten 14,5283,8402,034-1043,0594,270531771,6192,5811306462941811421,2841,016106183241511110-32209.824-38.385-19.3968.6521,544.21,439.21,304.51,195.81,154.11,156.21,082.4942.8
Kasstroom uit Operationele Activiteiten 8,3128,8159,83210,1355,0975,6134,6744,9305,7085,3664,2644,6884,8354,0413,1382,7533,4843,5633,6763,1173,0201,8712,2282,043.8061,625.2421,772.121,706.3731,007.5946.61,030.7767.3725.1520.8787.4516.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5,176-6,174-6,763-5,884-5,868-5,490-5,663-5,116-4,818-4,347-3,533-3,375-4,007-3,434-2,816-2,459-2,947-2,882-2,518-2,236-1,271-1,511-1,615-1,893.384-1,627.418-1,769.946-1,880.173-1,470.6-1,412.2-1,060.8-1,087.7-1,023.7-915.9-1,027.7-1,164.1
Netto Overnames 1148494-22822-66-56135-4,618-1,429-36-483-116-960-3-4-1,24264-110-2,3920-35-476.992-257.0950000000000
Aankoop van Beleggingen -176-84-14700000000000000000000000000000000
Verkoop/verval van Beleggingen 38-84-940000-35000000000000000000000000000
Overige Investeringsactiviteiten 1148494102228342170-1024185574111357954-68-64-212138257.661176.396321.189490.943279.2424285.7694.2224.4413.9256.7568
Kasstroom uit Investeringsactiviteiten -5,200-6,174-6,816-6,010-5,846-5,473-5,677-4,981-9,446-5,752-3,551-3,803-4,049-3,419-2,781-2,383-2,897-4,124-2,454-2,348-3,662-1,490-1,612-2,112.715-1,708.117-1,448.757-1,389.23-1,191.4-988.2-775.1-393.5-799.3-502-771-596.1
Financieringsactiviteiten:
Schuldaflossingen -147-152-161-2,106-4,008-1,436-38-82-41-5-254-417-29-262-653-501-639-906-369-791-319-10-320-650.28-115.09-269.367-533.502-9.7-264-349.5-198.2-737.3-507.3-916.4-1,044.2
Uitgifte van Gewone Aandelen 49123118474064101327337183320557280128108944110811514499115818828.65415.52349.93233.9253136.613.153.824.519.331.244.9
Terugkoop van Gewone Aandelen -2,500-1,500-2,2480-3-1,480-1,017-509-2,722-1,254-4,857-246-197-108-941,00001,05400-179-186-1770-606.5060267.1050-12.400-0.5-3.1-23.6-17.7
Uitgekeerde Dividenden -1,259-1,177-793-686-679-683-535-426-277-227-187-177-164-151-138-137-124-110-97-84-66-600000-7.79300000000
Overige Financieringsactiviteiten -11232-1702552,4591,4901,2086,4682,5152,0221,7441812699-33840-2-6921,59913743.8781,049.248-8.17-6.939191.217.345.48.11,743.3870.41,822.32,077.6
Kasstroom uit Financieringsactiviteiten -3,426-2,597-3,019-2,0903,381-1,0392275283,6111,349-2,7191,184-244-287-692400-617193-324-7761,150-174-406122.252-174.489-227.605-247.204212.5-222.5-291-136.3151.5-58.42.821
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -41-118-187171-70-4772-42-102-108-35-2741-5-170000000000-1.735000-0.174.2-18.8-16.479.8
Netto Kasstroomverandering -355-74-1902,2062,562-946-704435-229855-2,0092,074515376-340753-30-368898-750820721053.343-257.36495.75868.20428.6-264.1-35.4237.4151.5-58.42.821
Kaspositie aan het Einde van de Periode 6,5016,8236,8977,0874,8812,3193,2653,9693,5343,7632,9084,9172,8432,3281,9522,2921,5391,5691,9371,0391,046538331121.30267.959325.323229.56512293.4357.5392.9229.759.3101.3178.3