Federated Hermes, Inc.

NYSE:FHI

35.78 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 386.678336.782233.327301.819249.174156.832316.264104.839172.628115.267104.44367.58549.273198.756121.9945.438120.35118.721245.846256.213232.464149.90973.511149.92171.49185.58122.9
Kortetermijnbeleggingen 177.495184.972193.347136.95291.46133.65853.274196.31174.187182.071187.735191.043273.044134.88531.53813.20925.92116.19338.3722.0581.5261.0234.60285.30566.43813.3980
Liquide middelen en kortetermijnbeleggingen 564.173521.754426.674438.771340.635190.49369.538301.149346.815297.338292.178258.628322.317333.641121.9958.647146.271134.914284.218258.271233.99150.93278.113235.225237.928198.97922.9
Nettovorderingen 124.41594.00996.273105.964102.08195.07953.48244.80433.52427.96529.3224.1221.52621.22810.68423.87827.09323.29745.80433.82738.26131.18532.58136.94335.16330.96939.6
Voorraad 0-94.009-96.273-105.964-102.081-95.079-53.482-44.804-33.524-27.965-29.32-24.12000000000000000
Overige vlottende activa -688.588129.277132.773136.572120.649113.61167.73658.61149.01344.71747.1441.434000000000000000
Totaal vlottende activa 720.729651.031559.447575.343461.284304.101437.274359.76395.828342.055339.318300.062343.843354.869132.67482.525173.364158.211330.022292.098272.251182.117110.694272.168273.091229.94862.5
Niet-vlottende activa:
Materiële vaste activa, netto 129.976128.603155.271174.688152.23953.22937.6739.2835.74338.63840.08838.91238.22838.51640.02729.38925.87324.16822.00627.16630.89233.72234.52136.40631.30521.5522.2
Goodwill 807.156800.417798.871800.267774.534809.608660.04659.189659.315658.837658.743648.82642.329635.313581.673534.1454.586388.213303.194260.045165.007164.944131.86732.09932.85635.1070
Immateriële activa 409.493409.121471.209481.753446.228339.639736.915733.137734.492733.847735.345727.85778.597720.825662.996657.32180.017100.43766.83251.9297.68211.22714.61714.8789.69117.84637.5
Goodwill en immateriële activa 1,216.6491,209.5741,270.081,282.021,220.7621,149.247736.915733.137734.492733.847735.345727.857720.926720.825662.996657.321534.603488.65370.026311.974172.689176.171146.48446.97742.54752.95337.5
Langetermijnbeleggingen 20.17618.717.8057.2610.3370.59473.87870.37870.58268.9768.59568.45549.273198.7560000000000000
Belastingvorderingen 65.48466.71862.984-7.261-0.337-0.594-111.548-109.658-106.325-107.608-108.683-107.367000000000000000
Overige niet-vlottende activa -51.17-54.147-47.428.78845.84637.10657.22162.2156.88364.61761.13462.142-808.427-958.097-703.023-686.71-560.476-512.818-392.032-339.14-203.581-209.893-181.005-83.383-73.852-74.503-59.7
Totaal niet-vlottende activa 1,381.1151,369.4481,458.741,485.4961,418.8471,239.582794.136795.347791.375798.464796.479789.999808.427958.097703.023686.71560.476512.818392.032339.14203.581209.893181.00583.38373.85274.50359.7
Totaal activa 2,167.3282,020.4792,018.1872,060.8391,880.1311,543.6831,231.411,155.1071,187.2031,140.5191,135.7971,090.0611,152.081,155.42926.954847.806840.971810.294896.621954.102878.668530.007431.19704.212672.597580.02337.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 88.2973.90164.01961.73669.01456.1147.59554.17743.55134.9336.36445.255000058.9836.07572.14527.98534.62627.43629.10230.16129.32124.86418.6
Kortlopende schulden 16.28318.39417.44715.84513.57513517025.525.525.577.91742.542.5214.352196.99851.071002.2927.364.6295.5485.08515.3723.376.1718
Belastingschulden 00000000000000000.420.621.0982.1711.8190.70826.5438.1622.8652.5220
Uitgestelde opbrengsten -88.29-73.901-64.019-61.736-69.014-135-170-54.177-43.551-34.93-36.364-45.255000000000000000
Overige kortlopende verplichtingen 271.06239.019253.26249.601217.138125.0781.254137.038133.708123.821136.288138.634-42.5-214.352-196.998-51.071-58.983-6.075-74.437-35.345-39.255-32.984-34.187-45.531-52.691-31.035-26.6
Totaal kortlopende verplichtingen 287.343257.413270.707265.446230.713181.18128.849162.538159.208149.321214.205181.13442.5214.352196.99851.07158.9836.07574.43735.34539.25532.98434.18745.53152.69131.03526.6
Langlopende verplichtingen:
Langetermijnschulden 347.843347.581223.3575100135170165.75191.25216.75198.333276.25318.75365.686118.556156.49762.701112.987159.784284.923327.68459.24354.954393.992394.187371.548284.4
Uitgestelde opbrengsten niet-vlottend -242.728979.684-142.00449.0546.70434.349-87.457-145.324-150.161-137.152-105.686-99.399000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 251.776180.41205.206187.937165.382148.164117.62176.686158.895140.849121.20399.39973.24651.3839.23431.64827.09727.69921.43323.47919.61415.0657.03640.56537.17729.94926.5
Overige niet-vlottende verplichtingen 303.513-852.122346.911346.409296.052187.869141.183199.673179.039161.099141.398128.733-391.996-417.066-157.79-188.145-89.798-140.686-181.217-308.402-347.298-74.30800000
Totaal niet-vlottende verplichtingen 660.404655.553633.463658.396608.138505.382341.346396.785379.023381.546355.248404.983391.996417.066157.79188.14589.798140.686181.217308.402347.29874.30861.99434.557431.364401.497310.9
Totaal passiva 1,013.231912.966904.17923.842838.851686.562470.195559.323538.231530.867569.453586.117607.673659.789369.705423.236263.384280.037355.039495.763482.255188.71193.73555.806553.189490.643377.8
Eigen vermogen:
Preferente aandelen 1,194.5611,015.5891,187.0011,027.699930.351791.823697.359529.7490000000000000002.208000
Gewone aandelen 475.0031,411.0551,652.4811,461.7281,322.3121,144.4581,039.947851.166840.911774.911,317.5831,263.966001,338.1171,227.855176.889158.205135.111137.5988.12182.56382.48875.47675.27675.2790
Ingehouden winsten 1,194.5611,015.5891,187.0011,027.699930.351791.823697.359529.749545.785505.3941,022.608984.5051,069.9131,036.5711,105.0731,028.9281,189.5161,065.505954.71865.348749.41590.418411.447263.456124.65314.55655.1
Overige gereserveerde algehele resultaten -19.911-45.67616.36215.171-0.249-14.617-0.79-0.523-4.609-1.662-1.208-2.937-8.612-3.6951.5140.2970.8790.4510.3260.5290.3720.021-0.286-2.746-0.0950.4060
Overige totale aandeelhoudersvermogen -1,715.962-2,350.865-2,928.828-2,395.3-2,141.485-1,856.366-1,672.66-1,314.357-733.115-668.99-1,772.639-1,741.59-518.118-539.161-1,901.976-1,833.706-793.269-694.786-549.818-545.714-442.05-332.285-256.552-190.526-81.022-1.535-96.2
Totaal eigen vermogen van aandeelhouders 1,128.2521,045.6921,114.0171,136.9971,041.28857.121761.215595.784648.972609.652566.344503.944543.183493.715542.728423.374574.015529.375540.329457.753395.853340.717237.097147.868118.81288.706-41.1
Totaal eigen vermogen 1,154.0971,107.5131,177.2191,373.9841,253.3661,039.634791.378596.742650.128609.81566.569505.188544.407495.631557.249424.57577.587530.257541.582458.339396.413341.297237.46148.406119.40889.377-40.6
Totaal passiva en aandeelhoudersvermogen 2,167.3282,020.4792,018.1872,060.8391,880.1311,543.6831,231.411,155.1071,187.2031,140.5191,135.7971,090.0611,152.081,155.42926.954847.806840.971810.294896.621954.102878.668530.007431.19704.212672.597580.02337.2