Genuine Parts Company

NYSE:GPC

116.05 (USD) • At close November 4, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 1,316.5241,182.701898.79163.395646.475810.474616.757687.24705.672711.286684.959648.041565.116475.511399.575475.417506.339475.405437.434395.552334.101-27.59297.147385.323377.6355.8342.4330.1309.2288.5258.9219.8207.7206.6199.5
Afschrijvingen & Amortisatie 350.529347.819290.971272.842257.263241.635167.691147.487141.675148.313133.95798.38388.93689.33290.41188.69887.70273.42365.52962.20769.01370.15185.79392.3039069.358.950.443.237.434.431.129.828.824.6
Uitgestelde Inkomstenbelasting 42.1142.2231.676-27.722-55.9393.89165.9933.22635.54454.319-21.62214.751-2.33711.99427.899-40.023-8.066-5.48143.93519.6727.35443.995-21.704-6.71412.310.413.813.912.36.763.84.38.9-1
Aandelen Gebaseerde Vergoedingen 57.22638.05825.59722.62128.70320.71616.89219.71917.71716.23912.64810.7477.5477.0168.57800000000000000000000
Verandering in Werkkapitaal -289.157-19.401-11.3241,053.417-17.51271.10116.837103.653301.333-118.527323.423149.477-25.96799.746321.908-9.82142.909-123.29-119.10368.185-46.433-215.996-119.035-153.243-116.3-148.9-154.3-58.9-199.3-128.7-94-84.2-20.5-83.2-34.4
Vorderingen 31.989-244.371-258.994957.514-134.163-72.041-19.273-53.5441.974-225.178-116.0813.365-85.011-140.56269.25800000000000000000000
Voorraden -69.148-380.42-329.23758.462-54.765-73.173-9.923-64.214-21.821-100.82-79.253-25.845-19.62444.865194.743-20.709-42.087-7.24-19.869-28.40620.232-243.005-45.063-84.508-28.7-107.3-87.8-106.4-122.9-125.4-91.5-63.7-25.9-54.3-37.4
Crediteuren 2.038676.406777.31889.3582.739364.63961.474240.717331.419292.257473.424220.69485.766280.73949.94700000000000000000000
Overig Werkkapitaal -254.036-71.016-200.411-51.90988.677-148.324-15.441-19.306-10.239-84.78645.332-58.737-7.098-85.2967.9610.88884.996-116.05-99.23496.591-66.66527.009-73.972-68.735-87.6-41.6-66.547.5-76.4-3.3-2.5-20.55.4-28.93
Overige Niet-Contante Posten -41.626-84.42622.575535.00833.02-2.653-69.124-45.247-42.568-21.485-76.634-14.961-8.368-4.936-3.07313.5639.8628.94312.7229.62218.15401.84890.951-3.2442.6-2.3-10.22.72.82.52.1-3.4-2.3-4-2.6
Kasstroom uit Operationele Activiteiten 1,435.611,466.9711,258.2852,019.561892.011,145.164815.043946.0781,159.373790.1451,056.731906.438624.927678.663845.298530.309641.471433.5440.517555.236402.185272.408333.152314.425366.2284.3250.6328158.7199200.6168.6218.1158.7185.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -512.675-339.632-266.136-153.502-277.873-232.422-156.76-160.643-109.544-107.681-124.063-101.987-103.469-85.379-142.259-105.026-115.648-126.044-85.714-72.077-73.904-64.758-41.944-71.129-177.6-399.2-90.4-95.2-90.8-66-57.5-31.2-27.9-44.5-53.2
Netto Overnames -273.599-1,648.056-266.577318.206-290.109-278.367-1,473.52-433.356-154.083-279.034-701.516-549.88-128.028-86.969-122.161-121.029-39.606-29.007-27.518-3.018-14.99-6.042-16.358-46.2260000004.83.82.81.86.2
Aankoop van Beleggingen 273.59900000000000000000000000000000-64.6-12-10.6-8-18
Verkoop/verval van Beleggingen 80.482158.44100000000000000000000000000064.61217.75.9242.6
Overige Investeringsactiviteiten -273.599145.00726.5496.9334.77614.665-1,494.795-462.167-162.7018.86610.657-549.88-128.028-172.348-194.97511.72167.6569.45243.0587.1413.61910.1375.26110.60515.173.6-12.4-18.9-13.3-32.2-12.9-38.1-12.90.6-28.9
Kasstroom uit Investeringsactiviteiten -705.792-1,684.24-506.164171.637-563.206-496.124-1,630.28-593.999-263.627-386.715-825.579-651.867-231.497-172.348-264.42-214.334-87.598-145.599-70.174-67.955-75.275-60.663-53.041-106.75-162.5-325.6-102.8-114.1-104.1-33.6-118.2-59.8-42.7-26.1-91.3
Financieringsactiviteiten:
Schuldaflossingen -531.173-960.868-160.729-3,533.017-4,897.769-5,124.265-5,183.997-4,100-4,005.191-2,735.862-2,995.335-750-2500-5200-0.881000000-49.3-299.2-88.3-51.7-93.8-0.700-27.3-10
Uitgifte van Gewone Aandelen -24.145-17.377-22.3462,633.8945,025.7555,054.06404,333.8533,852.6522,705.8733,004.203742.957248.95101.8780.82110.538.67717.72537.5234.60136.00914.4010.0086.55.712.97.94.14.42.83.40.90.32.1
Terugkoop van Gewone Aandelen -261.473-222.726-333.599-96.215-74.187-91.983-173.524-181.417-292.275-95.946-120.673-81.826-122.078-75.007-26.019-273-241.22-123.478-119.239-21.475-17.709-11.615-12.658-117.815-111.1-76.3-76.8-94.7-40.2-70.300-4.4-39.20
Uitgekeerde Dividenden -526.674-495.917-465.649-453.277-438.89-415.983-395.475-386.863-368.284-347.271-326.217-300.983-276.369-257.898-253.558-251.808-243.244-228.052-215.868-208.575-204.556-201.15-195.022-189.995-184.2-178-169.2-160.2-151.3-140.3-129.8-113.5-109.3-103.2-89.8
Overige Financieringsactiviteiten 1,051.304-37.124-29.555-65.15-0.871-30.6636,625.05512.0217.02417.76612.90511.0185.35612.336-0.68451.4144.4383.005-0.087-176.801-112.976-101.069-28.30382.21995.1601.3179107.9188.50.7-0.1-5.20.70.924.9
Kasstroom uit Financieringsactiviteiten -292.161205.101-989.532-1,513.765-385.962-608.83872.059-322.406-806.074-455.44-425.117-378.834-394.14-320.569-330.383-472.573-469.496-340.729-317.469-369.328-330.64-277.825-221.582-225.583-24353.5-142.4-190.8-92.7-206.2-127.1-115.3-139.4-142.2-62.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 10.887-49.07-38.05435.7410.603-21.56215.1981.575-15.771-7.153-12.2372.304-4.2047.41918.531-7.46211.487-0.111.0971.594-0.8720.305-0.497-0.089-0.1-0.10000-82.4-108.8-175.4-132.6-94.6
Netto Kasstroomverandering 448.544-61.238-275.465713.174-56.55518.64872.0231.24873.901-59.163-206.202-121.959-4.914193.165269.026-164.0695.864-52.93853.971119.547-4.602-65.77558.032-17.997-39.312.15.423.1-38.1-40.8-127.1-115.3-139.4-142.2-62.8
Kaspositie aan het Einde van de Periode 1,102.007653.463714.701990.166276.992333.547314.899242.879211.631137.73196.893403.095525.054529.968336.80367.777231.837135.973188.911134.9415.39319.99585.7727.73845.784.972.867.444.382.440.952.5-7.6-0.846.8