Flowserve Corporation

NYSE:FLS

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 545.678434.971658.4521,095.274670.98619.683703.445367.162366.444450.35363.804304.252337.356557.579654.32471.792370.5756792.86463.75953.52249.29321.53342.34130.524.958.629.47419.43416.34122.617.321.61725.221.218.16.96.1
Kortetermijnbeleggingen 00000000000.1460000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 545.678434.971658.4521,095.274670.98619.683703.445367.162366.444450.35363.804304.252337.356557.579654.32471.792370.5756792.86463.75953.52249.29321.53342.34130.524.958.629.47419.43416.34122.617.321.61725.221.218.16.96.1
Nettovorderingen 1,162.0971,102.089934.8081,031.1961,068.4521,021.013856.711894.749988.3911,082.4471,155.3271,103.7241,060.249839.566791.722808.522666.733551.815472.946485.07499.873490.811455.861487.274213.6234.2234.4112.71103.96367.18957.253.652.354.649.742.534.322.823.2
Voorraad 879.937803.198678.287667.228660.837633.871884.273919.251995.565995.5641,060.671,086.6631,008.379886.731795.233834.612680.199547.373361.77401.672435.946431.243347.591305.958168.4199.3184.9101.0793.15562.2465558.354.755.950.549.539.231.935.4
Overige vlottende activa 116.065110.714117.13110.635105.101108.578114.316150.199125.41106.89110.13394.484222.37239.868258.047217.499179.264136.693143.61999.168101.69359.68573.15462.47941.328.936.79.1648.173.9944.56.14.543.53.82.52.62.1
Totaal vlottende activa 2,703.7772,450.9722,388.6772,904.3332,505.372,383.1452,558.7452,331.3612,631.7922,794.1632,847.3822,740.2162,628.3542,523.7442,499.3222,332.4251,896.7711,302.8811,071.1991,049.6691,091.0341,031.032898.139898.052453.8487.3514.6252.418224.722149.77139.3135.3133.1131.5128.911794.164.266.8
Niet-vlottende activa:
Materiële vaste activa, netto 662.588675.925709.79764.998758.393610.096671.796723.628758.427693.881716.289654.179598.746581.245560.472547.235488.892442.892397.622450.302440.324464.448362.388405.412210209209.599.912103.72382.22173.877.465.259.95145.742.334.534.1
Goodwill 1,182.2251,168.1241,196.4791,224.8861,193.011,197.641,218.1881,205.0541,223.9861,067.2551,107.5511,053.8521,045.0771,012.53864.927828.395853.265851.123834.863865.351871.4660515.1750000000000000000
Immateriële activa 122.248134.503152.463168.496180.805190.55210.049214.528228.777146.337160.548150.075163.482147.112124.678121.919134.734143.358146.2511,023.3541,038.7481,009.989131.079645.77196.491.479.700034.900000000
Goodwill en immateriële activa 1,304.4731,302.6271,348.9421,393.3821,373.8151,388.191,428.2371,419.5821,452.7631,213.5921,268.0991,203.9271,208.5591,159.642989.605950.314987.999994.481981.1141,023.3541,038.7481,009.989646.254645.77196.491.479.773.1666.92842.11334.900000000
Langetermijnbeleggingen 1.0510.3630.4281.388149.29510.967000000000000000000000000000000000
Belastingvorderingen 218.358149.2944.04930.53854.87944.68251.97487.17826.26431.41919.53326.70617.84324.34331.32432.56113.81625.73134.26110.4307.57200000000000000000
Overige niet-vlottende activa 218.472211.457257.882220.03877.89179.197199.722181.014234.604234.965185.43185.93169.112170.936168.171161.159132.943103.2591.342100.281230.54794.624145.194160.9087882.576.2000-0.137.915.11514.515.113.54.30.6
Totaal niet-vlottende activa 2,404.9422,339.6622,361.0912,410.3442,414.2722,233.1322,351.7292,411.4022,472.0582,173.8572,189.3512,070.7421,994.261,936.1661,749.5721,691.2691,623.651,566.3541,504.3391,584.3671,709.6191,576.6331,153.8361,212.091384.4382.9365.4173.072170.651124.334108.6115.380.374.965.560.855.838.834.7
Totaal activa 5,108.7194,790.6344,749.7685,314.6774,919.6424,616.2774,910.4744,742.7625,103.854,968.025,036.7334,810.9584,622.6144,459.914,248.8944,023.6943,520.4212,869.2352,575.5382,634.0362,800.6532,607.6652,051.9752,110.143838.2870.2880425.49395.373274.104247.9250.6213.4206.4194.4177.8149.9103101.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 547.824476.747410.062440.199447.582418.893443.113412.087491.378611.715612.092616.9597.342571.021493.306598.498513.169412.869316.713314.787262.553230.603178.48172.36672.176.768.231.25631.49919.4814.114.316.115.315.80000
Kortlopende schulden 98.62581.86373.68643.98547.3868.21875.59985.36560.43453.13172.67859.47853.62351.48127.35527.7317.1818.0512.36744.09866.49238.6144.52318.0983.817.917.913.30910.327.20267.78.67.99.75.25.43.83.1
Belastingschulden 50.52362.0667.96860.44538.16424.35142.69229.82756.48853.72537.44756.9880000000000000003.2983.4480.236000000000
Uitgestelde opbrengsten 287.697256.963202.965194.227216.541202.458277.538262.339323.595325.625380.854434.582000000000000000000000000000
Overige kortlopende verplichtingen 504.43427.578445.092463.222401.385391.406446.658418.35484.555481.404492.475479.665819.356833.873937.422981.767729.83463.117365.842349.525303.613222.797193.768243.553119.8124.5144.353.83347.90327.07425.428.921.623.420.937.628.516.120.3
Totaal kortlopende verplichtingen 1,438.5761,243.1511,131.8051,141.6331,112.8881,080.9751,242.9081,178.1411,359.9621,471.8751,558.0991,590.6251,470.3211,456.3751,458.0831,607.9961,250.18884.036694.922708.41632.658492.01416.771434.017195.7219.1230.498.39889.72253.75645.550.946.346.646.442.833.919.923.4
Langlopende verplichtingen:
Langetermijnschulden 1,305.9721,379.3471,428.5561,894.1571,517.51,414.8291,499.6581,485.2581,570.8361,101.7911,127.619869.116451.593476.23539.373545.617550.795556.519652.769657.746879.7661,055.748996.2221,111.108198186.3128.963.23951.75639.03234.94221.126.831.435.741.416.511.4
Uitgestelde opbrengsten niet-vlottend 1.5431.0590.4640.8221.6521.37-156.276-20.086-39.081000000300.06600000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.3357.9019.16985.824149.633159.404156.27620.08639.08100000017.38843.31336.608000000000000009.39.39.56.36.53.50
Overige niet-vlottende verplichtingen 386.242300.569342.429429.441322.01298.919496.954410.168489.319452.511473.894456.742422.47414.272449.691178.429375.916371.486396.013397.655467.481304.217227.963260.107136.2120125.464.07458.12342.237-34.9-42-30.4-36.1-40.9-42-47.9-20-11.4
Totaal niet-vlottende verplichtingen 1,695.0921,688.8761,780.6182,410.2441,990.7951,874.5221,996.6121,895.4262,060.1551,554.3021,601.5131,325.858874.063890.502989.0641,041.5970.024964.6131,048.7821,055.4011,347.2471,359.9651,224.1851,371.215334.2306.3254.3127.313109.87981.26934.94230.436.140.94247.92011.4
Totaal passiva 3,133.6682,932.0272,912.4233,551.8773,103.6832,955.4973,239.523,073.5673,420.1173,026.1773,159.6122,916.4832,344.3842,346.8772,447.1472,649.4962,220.2041,848.6491,743.7041,763.8111,979.9051,851.9751,640.9561,805.232529.9525.4484.7225.711199.601135.025120.3130.576.782.787.486.582.940.439.3
Eigen vermogen:
Preferente aandelen 631.65900000000000000000000000000000000000000
Gewone aandelen 220.991220.991220.991220.991220.991220.991220.991220.991220.991220.991220.99173.66473.66473.66473.59473.47773.39473.28972.01872.01872.01872.01860.51851.85651.90030.7130.50623.748000000000
Ingehouden winsten 3,854.7173,774.2093,691.0233,656.4493,695.8623,543.0073,503.9473,632.1633,587.123,415.7382,985.3912,579.3082,205.5241,848.681,526.7741,159.634774.366582.767446.163434.328442.973409.023355.998357.495344.3353.2326.7189.39158.754111.724102.694.1109.496.982.267.356.954.755.2
Overige gereserveerde algehele resultaten -631.659-640.809-556.375-587.888-575.958-566.83-499.119-618.241-529.81-369.848-211.955-213.44-216.097-150.506-149.028-211.32-14.734-83.367-126.001-60.13-109.111-139.177-133.892-77.68-62.4-279.1-251.8-157.768-144.252-105.51000000000
Overige totale aandeelhoudersvermogen -2,139.608-1,529.398-1,551.32-1,557.082-1,550.538-1,554.853-1,571.232-1,586.679-1,611.824-1,335.319-1,124.048-549.313206.722331.184344.773345.976459.951447.897439.654424.009414.868413.826128.395-26.76-25.5270.7320.4137.447150.764109.117252627.326.824.82410.17.97
Totaal eigen vermogen van aandeelhouders 1,936.11,824.9931,804.3191,732.471,790.3571,642.3151,654.5871,648.2341,666.4771,931.5621,870.3791,890.2192,269.8132,103.0221,796.1131,367.7671,292.9771,020.586831.834870.225820.748755.69411.019304.911308.3344.8395.3199.779195.772139.079127.6120.1136.7123.710791.36762.662.2
Totaal eigen vermogen 1,975.0511,858.6071,837.3451,762.81,815.9591,660.781,670.9541,669.1951,683.7331,941.8431,877.1211,894.4752,278.232,113.0331,801.7471,374.1981,300.2171,020.586831.834870.225820.748755.69411.019304.911308.3344.8395.3199.779195.772139.079127.6120.1136.7123.710791.36762.662.2
Totaal passiva en aandeelhoudersvermogen 5,108.7194,790.6344,749.7685,314.6774,919.6424,616.2774,910.4744,742.7625,103.854,968.025,036.7334,810.9584,622.6144,459.914,248.8944,023.6943,520.4212,869.2352,575.5382,634.0362,800.6532,607.6652,051.9752,110.143838.2870.2880425.49395.373274.104247.9250.6213.4206.4194.4177.8149.9103101.5