Global Payments Inc.

NYSE:GPN

111.92 (USD) • At close November 7, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Operationele Activiteiten:
Nettowinst 1,028.823143.313987.864605.1469.276484.667494.07201.753290.217309.115269.952238.713217.566228.758219.10974.178162.754142.985125.52492.89662.44353.323.8423.66833.047
Afschrijvingen & Amortisatie 1,776.6921,662.4551,691.3841,614.44878.335522.813451.151345.008187.881137.505122.069111.78899.09982.23768.66766.28844.03440.36540.48945.30635.5432.06129.57121.75620.028
Uitgestelde Inkomstenbelasting -499.974-315.495-189.05-166.224-108.309-1.451-250.67-43.184-18.16281.079-1.79933.112-19.49819.1542.7225.457-1.151-2.2110.7779.002-1.73710.968-6.62-3.6941.786
Aandelen Gebaseerde Vergoedingen 208.994163.261180.779148.79289.63457.82639.09532.06930.80921.05629.79318.42716.39115.88518.07214.5713.82600000000
Verandering in Werkkapitaal -663.263-738.444-168.183-89.447-155.974-44.526-358.86947.50857.797-141.633-245.007-178.275-506.675346.737105.41345.18318.306-38.80430.86147.289-27.276-86.00873.15818.016-20.201
Vorderingen -78.647-111.974-165.54355.986-115.528-33.386-14.0966.256-14.5421.248-18.539-5.458-16.422-34.723-11.689-25.077-23.95700000000
Voorraden -289.82617.157-132.7850.3295.09100000.1274.793-1.187-2.3941.979-4.727-1.653-0.623-0.167-0.520.209-0.0851.2630.6050.728-2.112
Crediteuren 51.108-17.157132.785-0.32-95.09166.182146.32765.4270-72.8029.224-39.37485.87589.23-13.0268.1464.57500000000
Overig Werkkapitaal -345.898-626.47-2.64-145.433-40.446-11.14-344.773-24.17572.339-70.206-240.485-132.256-573.734290.251121.82971.91342.886-38.63731.38147.08-27.191-87.27172.55317.288-18.089
Overige Niet-Contante Posten 397.4691,328.95278.031201.489218.31686.753137.611725.94144.34822.75519.0916.78119.64217.00151.778177.29534.64548.79737.12235.06623.218.85640.51918.8686.636
Kasstroom uit Operationele Activiteiten 2,248.7412,244.042,780.8252,314.151,391.2781,106.082512.388658.693592.89429.877194.098240.546-173.475709.772465.761382.971272.414191.132234.773229.55992.1729.177160.46878.61441.296
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -658.142-615.652-493.216-436.236-307.868-213.29-181.905-138.886-91.591-92.55-81.411-98.59-109.876-98.537-56.054-40.94-44.974-35.374-25.038-34.305-24.564-17.926-22.39-13.601-6.002
Netto Overnames -3,746.543-95.427-1,811.432-160.801-644.622-1,259.692-562.688-1,810.663-2,034.406-355.971-426.524-434.016-44.274-170.54530.718-525.205-18.247-81.261-4.917-30.773-122.276-1.153-60.154-23.350
Aankoop van Beleggingen 0615.6520000000000000000000000-5
Verkoop/verval van Beleggingen 42.13533.0460000037.717010.59701.2271.15200.3116.888000000000
Overige Investeringsactiviteiten 1.438-613.15610.822158.69535.404-3.305-173.337-1.992-92.842-84.95-75.146-95.778-107.311-96.475-56.233-40.94000000-53.502-6.002
Kasstroom uit Investeringsactiviteiten -4,361.112-675.537-2,293.826-438.342-917.086-1,476.287-736.025-1,913.824-2,127.248-440.921-501.67-528.567-150.433-267.02-25.204-559.257-63.221-116.635-29.955-65.078-146.84-19.079-87.544-33.449-11.002
Financieringsactiviteiten:
Schuldaflossingen -1,236.912-7,895.131-4,826.769-2,342.072-719.214-2,304.314-1,781.541-2,134.31-3,691.608-2,148.907-2,260.597-482.349-184.235-280.198-75.205-16.734-9.0980000000-9.457
Uitgifte van Gewone Aandelen 60.34510,103.4597,166.0922,272.76424.5142,827.8052,194.217.4615,868.4652,702.5862,968.7131,107.69697.605415.2230.2489.0517.38519.33223.92221.22511.4635.9656.7340.3020
Terugkoop van Gewone Aandelen -459.497-2,921.307-2,533.629-631.148-373.96-208.198-34.811-253.597-135.954-372.387-447.307-175.297-99.604-14.9-98.08208.647-87.0200000000
Uitgekeerde Dividenden -260.431-273.955-259.726-233.216-86.738-6.332-6.732-5.906-5.439-5.34-5.757-6.198-6.311-6.388-6.497-6.417-6.377-6.442-6.336-6.205-6.03-5.918-5.857-1.459-4.377
Overige Financieringsactiviteiten 1,624.137-389.76748.667-612.47-310.43-22.0312,175.389-17.1035,790.5992,662.8332,932.557847.36671.964415.60953.784175.586-0.361-2.004-71.86-167.37344.682.289-60.71-40.671-15.05
Kasstroom uit Financieringsactiviteiten 2,141.121-1,376.701-405.365-1,546.142-28.674286.93352.3051,865.1611,957.598136.199218.896183.522-218.186114.123-95.75161.485-76.37310.886-54.274-152.35350.1132.336-59.833-41.828-28.884
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 12.519-99.219-48.38281.83221.877-41.70244.408-55.437-29.251-56.288-9.9223.694-30.91627.464-1.796-14.32414.3685.01418.9522.3791.0196.382000
Netto Kasstroomverandering 41.26992.58333.252411.498467.395-124.977173.076512.04393.98968.867-98.598-100.805-573.01584.339343.011-29.125147.18890.397169.49614.507-3.53818.81613.0913.3371.41
Kaspositie aan het Einde van de Periode 2,256.8752,215.6062,123.0232,089.7711,678.2731,210.8781,335.8551,162.7791,044.728650.739581.872680.47781.2751,354.285769.946426.935456.06308.872218.47548.97934.47238.0119.1946.1032.766