Fluor Corporation

NYSE:FLR

45.91 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 7973-401.746-366.791-1,553.124292.958264.469327.449480.664852.094823.026571.067698.087441.082732.875720.458533.319263.452227.273186.695157.45163.61519.41123.949104.2235.3146.2268.1
Afschrijvingen & Amortisatie 747374.356105.574170.481216.656225.269225.913189.738192.594207.098212.381201.939190.584182.395163.305146.809126.158104.12491.88879.67677.98971.911311.6880000
Uitgestelde Inkomstenbelasting -131728.563-20.285320.63370.594100.286-21.192-3.15242.753-29.70864.292-17.39812.70774.66265.583-52.2150.987-55.6774.05448.28445.357-17.128-2.6510000
Aandelen Gebaseerde Vergoedingen 48193221.88234.74538.76743.74547.07798.497-1.8591.0466.07434.68846.947-44.60684.071-17.352-22.9390000000000
Verandering in Werkkapitaal -114-46-196.65229.801633.029-297.722-11.899135.393303.896-408.861-261.596-174.51546.005-173.007-143.932273.392430.15-41.588158.941-343.265-588.594-3.316305.732-339.5140-235.283.9151.3
Vorderingen -87225.393138.388210.419-40.785162.655-337.775190.141-336.109-98.74423.68-44.438-208.30391.65200000000-15.70000
Voorraden -1250-316.488178.701166.597-111.018140.556-72.41980.74250.57101.15829.669-504.67-54.576-359.99135.651-56.883189.588-41.509-263.313-396.432-20.153035.8760000
Crediteuren 218-1756.36-343.113-46.873176.335-137.441200.48-57.317-153.515-274.418195.147320.70882.016135.2280000000047.40000
Overig Werkkapitaal -120107108.08355.825302.886-322.254-177.669345.10790.3330.19310.408-423.011274.4057.856-10.821237.741487.033-231.176200.45-79.952-192.16216.837305.732-407.090083.90
Overige Niet-Contante Posten 138-105488.84414.456613.254-159.053-19.899-8.74-220.543-34.14749.04-50.921-73.55232.60197.918-355.7-135.669-29.90985.603-28.9582.646-76.784297.80320.392468.4697.798.5-12.5
Kasstroom uit Operationele Activiteiten 2123125.332185.884219.018162.2601.971705.9849.1642.574788.906628.378889.769550.914899.312951.109905.042296.161408.675-81.515-300.538206.861677.728141.8572.6697.8328.6406.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -106-75-75.073-113.442-180.842-211-283.107-235.9-240.2-324.704-288.487-254.747-338.167-265.41-233.113-299.611-284.24-274.055-213.207-104.432-81.766-78.9740-495.5660000
Netto Overnames -33-53-79.464-28.69-28.2474.081-273.117-758.9-45.55.313-22.452-50.119-27.326-10.03537.568-12.496-17.1900-33-54.5310000000
Aankoop van Beleggingen -426-428-148.493-35.078-31.165-483.513-237.36-359.986-386.021-410.508-492.633-922.024-865.876-853.622-1,664.694-1,348.623-1,004.283-0.371-13.21580.758-13.8950000000
Verkoop/verval van Beleggingen 28536444.68719.648238.53957.6216.436162.125.3419.398482.3761,120.448724.4091,291.1591,039.6841,557.59455.76000.35857.99131.6927.9628.3840000
Overige Investeringsactiviteiten 3114136.47411682.18564.23292.87451.286579.921111.38686.58668.09570.53656.3382.496125.67356.52136.60967.29-4.1611.046116.381-185.02980.2850000
Kasstroom uit Investeringsactiviteiten -277-78-121.869-41.56280.4721.4-484.278-741.4-66.5-199.115-234.61-38.347-436.424218.43-818.05922.533-793.432-237.817-159.132-60.477-91.15569.097-157.069-386.8970000
Financieringsactiviteiten:
Schuldaflossingen -238-45-532.175-3.881-9.093-503.3-53.455-1,250.7-28.4-0.074-26.435-7.514-77.234-13.097-23.7890000-128.581-121.469-38.175-50.913-201.5490000
Uitgifte van Gewone Aandelen 0058201.466672.0349.381,4351.78518.78402.66522.78912.67113.37712.53731.7792.3761.68728.50214.851144.5775.8290000
Terugkoop van Gewone Aandelen 00-5820-10.559-50-6.186-9.7-509.7-906.083-211.456-389.233-639.556-175.058-125.4190000338.471-2.691-19.199-1.404-23.0030000
Uitgekeerde Dividenden -29-39-19-28.72-118.073-118.734-117.995-118-125.2-126.218-78.716-128.65-87.678-90.093-166.419-89.928-70.399-52.863-68.665-53.476-52.287-51.485-50.913-75.9830000
Overige Financieringsactiviteiten -92378673.60281.04758.96-140.5-44.052-67-64.9-152.825-52.962-93.894385.854-112.624-4.341-153.13291.585139.476-55.803-8.076237.718-1.237-11.202399.6150000
Kasstroom uit Financieringsactiviteiten 117294122.25248.446-77.299-140.5-215.502-10.4-728.2-666.416-369.569-616.626-395.825-389.872-317.297-229.68333.723118.383-32.098210.02589.773-95.24530.145104.9090000
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 18-38-15.1148.81410.262-62.451.448-53.6-97.6-67.5-55.68619.725-31.10668.49788.748-84.77953.76110.307-32.94639.98245.0550000000
Netto Kasstroomverandering 8023010.601201.582232.453-39.329-46.361-99.5-43.2-290.457129.041-6.8726.414447.969-147.296659.18199.094187.034184.499108.015-256.865180.713550.804-140.188572.6697.8328.6406.9
Kaspositie aan het Einde van de Periode 2,5192,4392,209.3822,198.7811,997.1991,764.7461,804.0751,850.41,949.91,993.1252,283.5822,154.5412,161.4112,134.9971,687.0281,834.3241,175.144976.05789.016604.517496.502753.367572.65469.426572.6697.8328.6406.9