Griffon Corporation

NYSE:GFF

69.99 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 102.889120.184248.653218.08972.37769.75847.68172.55352.00192.405178.13209.654243.029169.802320.833311.92144.74722.38960.66388.04769.81645.74940.09626.61621.219.315.417.89.728.726.51823.525.633.414.920.111.535.8
Kortetermijnbeleggingen 00.06216.0441.7031.5182.6443.3521.3141.3749.771.1940000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 102.889120.184248.653218.08972.37769.75847.68172.55352.00192.405178.13209.654243.029169.802320.833311.92144.74722.38960.66388.04769.81645.74940.09626.61621.219.315.417.89.728.726.51823.525.633.414.920.111.535.8
Nettovorderingen 312.432361.653294.804348.124264.45280.509208.229233.751218.755258.436256.215239.857268.026315.184240.155232.587287.524315.451232.969207.638220.584206.33212.541144.259188.5162.1105.187.171.559.251.942.783.282.367.84040.834.721.1
Voorraad 507.13669.193472.794413.825442.121398.359299.437308.869325.809290.135230.12257.868263.809268.801139.17167.158161.775165.089148.35141.567114.003104.79298.04498.4494.4104.588.169.978.868.95647.382.772.161.181.571.561.533.8
Overige vlottende activa 57.13963.64276.00946.89740.79942.12140.06738.60555.08662.56948.90370.77776.1181.0791.5769.49550.88942.07541.22743.38139.2825.4718.14896.40422.920.755.554.25265.965.244.412.913.422.311.18.48.94.9
Totaal vlottende activa 980.5911,214.6721,366.2791,113.452925.179912.8741,098.129780.958756.862815.099824.41826.215899.81810.648740.995773.591544.935545.004483.209480.633443.683382.341368.829365.719327306.6264.1229212222.7199.6152.4202.3193.4184.6147.5140.8116.695.6
Niet-vlottende activa:
Materiële vaste activa, netto 449.16477.959437.22505.591337.326342.492232.135405.404379.972370.565353.593356.879350.05314.926236.019239.003233.449231.975216.9203.539169.852148.253145.931142.944134.9132.277.155.748.449.949.851.27067.156.745.148.250.528.8
Goodwill 327.864335.79426.148442.643437.067439.395319.139361.185356.241371.846357.73358.372357.333357.22197.65793.782114.75699.5496,09850.55449.98344.97860.2320000000000000000
Immateriële activa 635.243761.914350.025355.028356.639370.858205.127210.599213.837233.623221.391230.473223.189233.01134.21134.77766.71851.695151.318000062.46351.338.435.922.821.318.217.718.222.523.123.826.227.225.49.8
Goodwill en immateriële activa 963.1071,097.704776.173797.671793.706810.253524.266571.784570.078605.469579.121588.845580.522590.232131.868128.559181.474151.235151.31850.55449.98344.97860.23262.46351.338.435.922.821.318.217.718.222.523.123.826.227.225.49.8
Langetermijnbeleggingen -100.994-95.969-92.362-0.614-0.137-0.061000000000000000000000000000000000
Belastingvorderingen 100.99495.96992.3620.6140.1370.061000000000000000000000000000000000
Overige niet-vlottende activa 26.02126.13925.01339.30318.72819.27119.01123.9524.52129.22831.65534.25334.87233.7135.00930.41300014.7915.21212.12210.00110.920.210.77.73.73.92.43.2258.810.95.84.46.44.31.7
Totaal niet-vlottende activa 1,438.2881,601.8021,238.4061,342.5651,149.761,172.016775.4121,001.138974.5711,005.262964.369979.977965.444938.868402.896397.975414.923383.21368.218268.883235.047205.353216.164216.307206.4181.3120.782.273.670.570.794.4101.3101.186.375.781.880.240.3
Totaal activa 2,418.8792,816.4742,604.6852,456.0172,074.9392,084.891,873.5411,782.0961,731.4331,820.3611,788.7791,806.1921,865.2541,749.5161,143.8911,171.566959.858928.214851.427749.516678.73587.694584.993582.026533.4487.9384.8311.2285.6293.2270.3246.8303.6294.5270.9223.2222.6196.8135.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 116.646194.793260.14232.107250.576233.658183.951190.341199.811218.703163.61141.704183.136185.165125.027129.823105.324128.10491.9785.58969.55562.02359.20661.89558.562.550.642.14033.730.924.335.635.9320000
Kortlopende schulden 42.25744.33342.36741.7710.52513.01111.07822.64416.5937.88610.76817.70325.16420.90178.592.2583.3928.09216.62514.4912.16110.0368.34644.70917.89.45.25.67.19.51.40.43.84.35.116.216.810.912.9
Belastingschulden 22.95422.5711.26414.7077.8148.0166.29113.22612.1056.4465.0456.7930001.80714,15318,43122,59963916,975000000000000000000
Uitgestelde opbrengsten 193.0980145.101171.572124.6658.01683.258103.594104.997101.292106.743110.337102.785124.761.1262.64379.00181.67278.84996.2880000000000000000000
Overige kortlopende verplichtingen 7.148184.45384.0283.7974.333138.38692.7921.6842.2293.2823.2883.6393.7944.2894.93216.72414.15318.43122.59914.264112.347117.08895.39967.45261.766.273.358.150.758.450.549.338.739.234.550.653.657.426.7
Totaal kortlopende verplichtingen 359.149423.579531.636449.246390.099393.071371.079318.263323.63331.163284.409273.383314.879335.055269.669211.448201.87236.299210.043210.631194.063189.147162.951174.056138138.1129.1105.897.8101.682.87478.179.471.666.870.468.339.6
Langlopende verplichtingen:
Langetermijnschulden 1,607.1281,720.4121,152.5121,173.0961,093.7491,108.071968.08913.914826.976805.101678.487681.907688.247503.93598.394230.93229.438209.228196.54154.445155.48374.64108.615125.916127.7107.553.932.516.115.523.323.3104.6117.5121.526.927.254.729.7
Uitgestelde opbrengsten niet-vlottend -196.068-232.731-140.145-34.008-31.141-42.689000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 196.068232.731140.14534.00831.14142.6890000000000000000000000002.85.14.7000000.4
Overige niet-vlottende verplichtingen 137.358194.913113.379133.524113.328109.357135.574138.972150.302152.07175.419196.75210.22199.81187.62169.50861.61170.24282.8940.2930000-0.100-0.100.10.10.12.32.83.364.552.33.82.8
Totaal niet-vlottende verplichtingen 1,744.4861,915.3251,265.8911,306.621,207.0771,217.4281,103.6541,052.886977.278957.171853.906878.657898.467703.746186.015300.438291.049279.47279.43194.738155.48374.64108.615125.916127.6107.553.932.416.115.626.228.5111.6120.3124.891.479.558.532.9
Totaal passiva 2,103.6352,338.9041,797.5271,755.8661,597.1761,610.4991,474.7331,371.1491,300.9081,288.3341,138.3151,152.041,213.3461,038.801455.684511.886492.919515.769489.473405.369349.546263.787271.566299.972265.6245.6183138.2113.9117.2109102.5189.7199.7196.4158.2149.9126.872.5
Eigen vermogen:
Preferente aandelen 00000000000004.49118.0940000000000000.40.40.40.40.40.40.40.40000
Gewone aandelen 21.18721.18721.09420.93520.69420.3820.16619.99219.7719.62119.40419.12719.04618.09618.0117.77410.58210.40710.1869.5029.1569.0848.7567.9377.900000000000000
Ingehouden winsten 281.516344.06669.998607.518568.516550.523480.347475.76454.548427.913434.363436.421424.153431.584421.992415.991461.163439.084387.298338.485284.626241.604231.668237.786218.2198168.7135.5113.189.760.442.819.2312.42.66.3-1523.1
Overige gereserveerde algehele resultaten -70.01-82.738-45.977-72.092-65.916-34.112-60.481-81.241-91.188-30.064-3.339-19.559-7.72413.09128.1723.7227.903-2.448-16.069-8.028-9.547-16.295-7.102-4.796-2.6-62.7-53.7-45-48.3-44.8-40.9-35.1-37.2-30.3-24.2-22.7-19.4-16.5-13.3
Overige totale aandeelhoudersvermogen 82.551195.061162.043143.79-45.531-62.4-41.224-3.56447.395114.557200.036218.163216.433243.453201.941202.195-32.709-34.598-19.461-20.987-0.18158.57660.53123.03426.794.886.882.1106.5130.7141.4136.2100.592.660.985.185.8101.553.6
Totaal eigen vermogen van aandeelhouders 315.244477.57807.158700.151477.763474.391398.808410.947430.525532.027650.464654.152651.908710.715688.207659.68466.939412.445361.954318.972284.054292.969293.853263.961250.2230.1201.8173171.7176161.3144.382.965.749.56572.77063.4
Totaal eigen vermogen 315.244477.57807.158700.151477.763474.391398.808410.947430.525532.027650.464654.152651.908710.715688.207659.68466.939412.445361.954344.147329.184323.907313.427282.054267.8242.3201.8173171.7176161.3144.3113.994.874.56572.77063.4
Totaal passiva en aandeelhoudersvermogen 2,418.8792,816.4742,604.6852,456.0172,074.9392,084.891,873.5411,782.0961,731.4331,820.3611,788.7791,806.1921,865.2541,749.5161,143.8911,171.566959.858928.214851.427749.516678.73587.694584.993582.026533.4487.9384.8311.2285.6293.2270.3246.8303.6294.5270.9223.2222.6196.8135.9