FMC Corporation

NYSE:FMC

50.15 (USD) • At close December 20, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 1,419.5838.7802.2578.9543.5654.9-83.3245.4-177.9411.5467.3465.9414218.5257329.5132.4132111175.639.869.1-306.3110.6212.6142.6166.9210.7215.6173.441119.4173.1155.3156.7
Afschrijvingen & Amortisatie 251.2169.4170.9162.7150.1168.2113137.1115.7131.2127.2137.8126.6133.6127.2124.2133.7131.8136.3134.3124.6118.8131.6188.9180.7206.6238.4254.2248.9229226.6233.1224.9211.2197.8
Uitgestelde Inkomstenbelasting -1,292.8-52.79.733.646.1-47.4104.258.119.9-6119.657.389.832.149.996.96.557.256.4-60.1-17.37.2-200.3-7.920.627.4-15.852-3.730.3-38.9-3-4.3-22.6-40.4
Aandelen Gebaseerde Vergoedingen 25.924.217.818.925.62321.120.215.414.814.217.415.814.7000000000000000000000
Verandering in Werkkapitaal -803.2-358.1-121.8-127-265.9-212.2216.458.3-396.4-64.6-270.4-256.7-278.1-131.5-268.2-282.5-161.3-119.8-132.3-38.2-22.6-85.4-323.1-115.6147.830.3137.3-573.2-641.2-154.3-26.9-58.911.7128.329.7
Vorderingen 192.4-443.9-241.1-71.8-123.5-302.2-262.4-6.1140.9-276.9-394.5-193.7-77.9-109.9-59.3-99-48.6-31.2-27.57.9069.10000000000000
Voorraden -72.8-182.3-331.1-59.76.4-224.2-96.872.578.333.15.1-198-110.5-7.920.2-91.6-39.621.94.7-5.911.637.4-40.9-16.7578.2-39.9-234.3-217.9-46.237.533.175.716.7-27.6
Crediteuren -626165.3144.461.8103182.3331.7-24.1-292.5-2140.441.269.3106.6-71.55210.5-12.3-25.65.90-83.80000000000000
Overig Werkkapitaal -296.8102.8306-57.3-251.8131.9243.916-323.1200.278.693.8-159-120.3-157.6-143.9-83.6-98.2-83.9-46.1-34.2-108.1-282.2-98.990.822.1177.2-338.9-423.3-108.1-64.4-92-64111.657.3
Overige Niet-Contante Posten 13-39.1-58.7-19.3-10.9-218.1-35.9-21.365.6-58.2-29.2-6213.287.1135.642.8165.262.845.6-1.244-3.1488.871.125.6-26415.1137.37752.8177.395.64-3.913.2
Kasstroom uit Operationele Activiteiten -386.4582.4820.1647.8488.5368.4335.5497.8-357.7373.7328.7359.7381.3354.5301.5307.6269.6264217210.4168.5106.6-209.3247.1587.3380.9941.981-103.4305.7343.8345.1424445.4361
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -133.9-142.3-100.1-67.2-93.9-156.6-85.7-130.8-108.5-224.7-221.9-206.6-189.5-142.3-161.2-174.8-115.4-124.6-93.5-85.4-87-83.9-145.6-240.4-522.3-277.7-316.7-533-566.3-356-244.5-314.5-216.8-324.3-280.8
Netto Overnames -16.5-198.2-5.2-65.60107.6-1,225.6-18.1-1,205.1-1.1-346-157.4-148.1-7.5-34.3-90.605.30000-0.3-47.400000000000
Aankoop van Beleggingen 00-12.7-47.2-48-48.5002,881.5198.800-3.20000-0.2000-8.7-20.337.10-159.2000-55.8012.1-4.90-12.7
Verkoop/verval van Beleggingen 00100.167.20-120066.427.500151.3000011.713.75.23.200127.95.8021.235.449.5023.60034.70
Overige Investeringsactiviteiten -474.1-94.1-56.5-44.8-21.4-22.5-4.4-1,285.5-35.7-85.3-29.6-168.5-4.2-5.273.7-5.2-273.4-29.2-74-18.211.388.8261.372.957.161.131.2197.81812.210.414.9
Kasstroom uit Investeringsactiviteiten -154.4-266.4-112-169.3-186.7-130.9-1,333.8-135.2348.8-35.2-653.2-393.6-358-154-200.7-191.7-120.6-109.8-6.4-109.4-157.8-110.8-154.9-34-255.2-364-238.4-436.5-485.6-392.8-213.1-284.4-209.5-279.2-278.6
Financieringsactiviteiten:
Schuldaflossingen 699.3113.8-100.624.1488.8-472.51,293.5-259.266.1-171.2888.9138.1179.4-5.91.383.2-101-118.6-212.6-131.7-192.6406.1-90.8-292.3-194.2137.1-509.2380.8409.9171.7-78.1-90.5-277-176.6-116
Uitgifte van Gewone Aandelen 5.39.47.924.750.7374.322.54.15.98.610.718.711.318.110.213.114.640.640.251.34.715.739.815.87.417.421.620.318110.57.414.79.62.53.6
Terugkoop van Gewone Aandelen -81.2-108.9-408-58.4-416.2-206.8-2.6-13-3.7-4.7-367-149-169.3-137.7-36.6-186.9-116.4-92.200000-0.6-136.4-156.7-20900000000
Uitgekeerde Dividenden -290.5-267.5-247.2-228.5-210.3-89.2-88.8-88.6-86.4-78.1-73.6-47.8-54.1-47.4-36.3-46.9-29.7-210-1.5-3-2.8-3.2-2.8-5.9-5.3-8-44.9-37.8-7000000
Overige Financieringsactiviteiten -1.415.80-12.2-37.230.9-11.5-20.31.4-104.5-87.8-8.2-5.545.3-16.40-10.9-7.3-42.9121.6137.7-353.2430.7117.9-11.1000-0.10-0.10-0.10-0.1
Kasstroom uit Financieringsactiviteiten 331.5-237.4-747.9-250.3-124.2-363.31,213.1-377-16.7-350371.2-48.2-25.3-116.6-77.8-137.5-243.4-198.5-215.341.2-53.265.8376.5-250.9-340.2-7.5-704.6356.2553112.2-70.8-75.8-267.5-174.1-112.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -60.3-23.4-12.31.6-0.24.540-5.3-2.2-0.60.3-0.611.2-1.54.43.4-1.313.29.94.63.8-1.110.4-10.4-113.28.5-4-6.5-4.94.26.5-6.2
Netto Kasstroomverandering -269.655.2-52.1229.8177.4-121.3218.8-14.4-30.9-13.746.1-81.8-2.684.924.2-23.1-90-40.9-6155.4-32.666.216.1-38.92.3-1-12.13.9-27.521.153.4-20-48.8-1.4-36.3
Kaspositie aan het Einde van de Periode 302.4572516.8568.9339.1161.728364.278.6109.5123.277.1158.9161.576.652.475.5165.5206.4212.45789.623.425.16461.762.774.870.998.677.724.244.293.194.5