Genpact Limited

NYSE:G

45.91 (USD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 583.67646.765899.458680.44467.096368.396504.468422.623450.907461.788571.276459.228408.02404.034288.734184.05279.30635.4344.69813.3
Kortetermijnbeleggingen 4.4065.3725.8398.7741.78434.52848.19234.7318.2841.7543.89620.993076.985142.235200.9940000
Liquide middelen en kortetermijnbeleggingen 583.67646.765899.458680.44467.096368.396504.468422.623450.907461.788571.276459.228408.02481.019430.969385.044279.30635.4344.69813.3
Nettovorderingen 1,133.7271,009.667899.045892.691937.634796.656693.085615.265590.137525.754505.117451.989402.429305.928253.691229.297192.661151.48779.8940
Voorraad 00103.743150.089121.172150.225191.435172.506134.148187.637192.695208.264000128.565155.8384.4073.460
Overige vlottende activa 174.112123.06123.138175.737146.946190.005236.342189.149152.205199.212195.855217.55174.67148.833162.48129.993199.89455.98362.5590
Totaal vlottende activa 1,891.5091,779.4921,921.6411,748.8681,551.6761,355.0571,433.8951,227.0361,195.0691,188.5081,276.1441,128.767985.119935.78847.14744.334671.861242.9187.15113.3
Niet-vlottende activa:
Materiële vaste activa, netto 393.736379.124485.692535.836584.889212.715207.03200.115175.396175.936173.204200.362180.504197.166189.112174.266195.66157.976113.5130
Goodwill 1,683.7821,684.1961,731.0271,695.6881,574.4661,393.8321,337.1221,069.4081,038.3461,057.214953.849956.064925.339570.153548.723531.897601.12493.452477.1060
Immateriële activa 53.02889.715169.635236.732230.861177.087131.5972.04998.601114.54499.116112.387113.28833.34736.22862.167109.632131.588171.8320
Goodwill en immateriële activa 1,736.811,773.9111,900.6621,932.421,805.3271,570.9191,468.7121,141.4571,136.9471,171.7581,052.9651,068.4511,038.627603.5584.951594.064710.752625.04648.9380
Langetermijnbeleggingen 100.75970.276238.794225.897205.4980.8360.8864.86.6770.4940.3840.4160.221.9130.58810.197000
Belastingvorderingen 298.921135.483106.322106.67489.71574.56676.92970.14399.39559.13589.30591.38391.8835.09936.527111.0022.1961.5490.2370
Overige niet-vlottende activa 383.978450.528322.158323.818217.079315.352262.169242.328180.005146.70697.365116.548107.037120.00389.24771.66162.853.82720.3630
Totaal niet-vlottende activa 2,914.2042,809.3223,053.6283,124.6452,902.5082,174.3882,015.7261,658.8431,598.421,554.0291,413.2231,477.161,418.268957.681900.425951.9921,071.605838.392783.0510
Totaal activa 4,805.7134,588.8144,975.2694,873.5134,454.1843,529.4453,449.6212,885.8792,793.4892,742.5372,689.3672,605.9272,403.3871,893.4611,747.5651,696.3261,743.4661,081.292970.202330.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 27.73935.80924.98413.9121.98142.58415.059.76810.08615.54418.41218.65220.95112.20616.2768.37712.4469.237.3050
Kortlopende schulden 503.392246.784463.573358.082170.913330.291210.772200.5361.962142.1747.07387.584284.54627.54247.37556.54822.80584.98122.0110
Belastingschulden 38.45845.30647.35341.94143.18633.89530.02624.15924.12213.58615.00722.30420.1188.0641.5792.0817.035000
Uitgestelde opbrengsten 112.435160.625160.602154.71797.31364.74477.70972.52164.78969.64965.22962.26920.1188.06474.90454.7167.03513.2134.3260
Overige kortlopende verplichtingen 635.908614.797612.289633.986576.818504.798505.227424.377433.521450.81421.201389.278336.213274.736330.353304.889229.154136.139141.6630
Totaal kortlopende verplichtingen 1,317.9321,103.3211,308.8011,202.636910.211976.312838.784731.354594.48622.114461.693517.818661.828322.548395.583426.611271.44263.846175.3050
Langlopende verplichtingen:
Langetermijnschulden 999.6091,451.3531,536.481,627.6921,662.621977.3591,009.351700.652739.536651.974656.258659.41275.6312.48928.32974.006105.887125.589139.2020
Uitgestelde opbrengsten niet-vlottend 59.39356.15780.22268.7678.61353.79671.6974.93171.22258.41955.40574.029.1540008.341000
Uitgestelde belastingverplichtingen niet-vlottend 11.7064.1763.9421.5163.998.086.7472.4152.0936.6714.4646.0681.9052.9534.39810.17440.73820.48127.5410
Overige niet-vlottende verplichtingen 168.681147.649148.691138.68109.578109.71694.25585.35981.802124.223195.479176.828197.08384.229119.508341.16927.88746.68131.8570
Totaal niet-vlottende verplichtingen 1,239.3891,659.3351,769.3351,836.6481,854.8021,148.9511,186.793867.877894.653835.287903.606916.328305.87689.671152.235425.349218.231192.751202.9260
Totaal passiva 2,557.3212,762.6563,078.1363,039.2842,765.0132,125.2632,025.5771,599.2311,489.1331,457.4011,365.2991,434.146967.704412.219547.818851.96489.671456.597378.231137.7
Eigen vermogen:
Preferente aandelen 00000000000000000188.968188.9940
Gewone aandelen 1.7891.8231.8471.8851.8961.8881.9241.9842.1112.1842.312.2532.2222.2082.1742.1462.12112.23412.2140
Ingehouden winsten 1,085.209780.007732.474741.658648.656438.453355.982358.121411.508398.706511.699281.982605.386421.092278.911151.6126.4695.9780.681133.2
Overige gereserveerde algehele resultaten -722.55-733.125-554.353-545.34-531.956-507.46-355.23-457.925-451.285-412.484-459.614-318.272-320.753-50.238-146.993-342.267221.96-15.295-53.4710
Overige totale aandeelhoudersvermogen 1,883.9441,777.4531,717.1651,636.0261,570.5751,471.3011,421.3681,384.4681,342.0221,296.731,268.3441,202.4481,146.2031,105.611,063.3041,030.3041,000.1791,007.94443.55359.7
Totaal eigen vermogen van aandeelhouders 2,248.3921,826.1581,897.1331,834.2291,689.1711,404.1821,424.0441,286.6481,304.3561,285.1361,322.7391,168.4111,433.0581,478.6721,197.396841.7931,250.729624.695591.971192.9
Totaal eigen vermogen 2,248.3921,826.1581,897.1331,834.2291,689.1714,933.6271,428.7941,291.1681,304.3561,285.1361,324.0681,171.7811,435.6831,481.2421,199.747844.3661,253.795624.695591.971192.9
Totaal passiva en aandeelhoudersvermogen 4,805.7134,588.8144,975.2694,873.5134,454.1843,529.4453,449.6212,885.8792,793.4892,742.5372,689.3672,605.9272,403.3871,893.4611,747.5651,696.3261,743.4661,081.292970.202330.6