Halliburton Company

NYSE:HAL

27.87 (USD) • At close September 13, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,2642,3463,0442,5632,2682,0082,3374,00910,0772,2912,3562,4842,6981,3982,0821,1241,8474,3792,3912,8081,8151,107290231466202.6221.3213.6174.9428.148.8233.3131.6123.4401.80547.3513.4622.7
Kortetermijnbeleggingen 000000695663562392701506531,31203880000000000000000000000
Liquide middelen en kortetermijnbeleggingen 2,2642,3463,0442,5632,2682,0082,3374,00910,0772,2912,3562,4842,8482,0513,3941,1242,2354,3792,3912,8081,8151,107290231466202.6221.3213.6174.9428.148.8233.3131.6123.4401.80547.3513.4622.7
Nettovorderingen 4,8604,6273,6663,0714,5775,2345,0363,9225,3177,5646,1815,7875,0843,9242,9643,7953,0934,6744,8015,7514,7653,2574,0953,8453,8793,860.42,205.81,702.31,3911,459.91,556.12,256.61,772.51,666.51,392.50934.2797.41,073
Voorraad 3,2262,9232,3612,3493,1393,0282,3962,2752,4173,5713,3053,1862,5701,9401,5981,8281,4591,2619537236957347877231,2381,301.8326.9292.2251.5268.9369381.7476.3469378.40228.4265.1473.5
Overige vlottende activa 1,1931,0568721,4921,2288818758861,6831,6421,1251,6291,0759716821,788410550590680456262247534439718.3217.6189.9232.51,325.91,31086.5823.3696.2677075.4104.6234.1
Totaal vlottende activa 11,54310,9529,9439,47511,21211,15110,77711,67721,60915,06813,70413,08611,5778,8868,6387,4117,57311,1839,3279,9627,9195,5605,5735,5686,0226,083.12,971.62,3982,049.93,482.83,283.92,958.13,203.72,955.12,849.701,785.31,680.52,403.3
Niet-vlottende activa:
Materiële vaste activa, netto 5,9885,2615,2605,1118,2418,9618,5218,53210,91112,47511,29710,2578,4926,8425,7594,7823,6303,0482,6482,5532,5262,6292,6692,4102,7912,921.61,662.71,291.61,111.21,076.81,152.81,233.31,191.51,013.2923.10865.31,025.81,571.8
Goodwill 2,8502,8292,8432,8042,8122,8252,6932,4142,1092,3302,1682,1351,7761,3151,1001,07279077576579567000597000000000000000
Immateriële activa 0000000000000000007657956707237200768770.2323.1233.9207.5213.4219.2121.4373124.2125.80000
Goodwill en immateriële activa 2,8502,8292,8432,8042,8122,8252,6932,4142,1092,3302,1682,1351,7761,3151,1001,072790775765795670723720597768770.2323.1233.9207.5213.4219.2121.4373124.2125.80000
Langetermijnbeleggingen 0034900034544533-421-388-351-321-257-210-15700000000000000000000000
Belastingvorderingen 2,5052,6362,6952,1661,6831,4651,2301,965-33421388351321257210157348603838780738607410340000000000000000
Overige niet-vlottende activa 1,7971,5771,2311,1241,4291,6611,5191,9722,3132,3672,0541,9321,8321,2541,0411,1207941,2111,4321,7063,6103,3251,5941,1881,1471,337.1645.6513.1278495.3747.2423249451.4364.40620621.7686.9
Totaal niet-vlottende activa 13,14012,30312,37811,20514,16514,91214,30815,32815,33317,17215,51914,32412,1009,4117,9006,9745,5625,6375,6835,8347,5447,2845,3934,5354,7065,028.92,631.42,038.61,596.71,785.52,119.21,777.71,813.51,588.81,413.34,722.21,485.31,647.52,258.7
Totaal activa 24,68323,25522,32120,68025,37726,06325,08527,00536,94232,24029,22327,41023,67718,29716,53814,38513,13516,82015,01015,79615,46312,84410,96610,10310,72811,1125,6034,436.63,646.65,268.35,403.14,735.85,017.24,543.94,2634,722.23,270.63,3284,662
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,1473,1212,3531,5732,4323,0182,5541,7642,0192,8142,3652,0411,8261,1397878987682,8341,9672,2711,7761,0779177829321,008.5586.5452.1357.3303.5297.4383.7409.2370.4429.20000
Kortlopende schulden 262224247946208365121636596846796235534507502615945383347403441251,5781,257573.59.846.41030.7920.710.85.91.7031.535.3169
Belastingschulden 7606435532923102482312182934070000067209000236000000000000000000
Uitgestelde opbrengsten 1,4492,6364935176047142572612983493503073092662152312097646484731041009998000000000000000
Overige kortlopende verplichtingen 750-6361,2131,3851,6341,0811,5391,8352,3832,0361,6321,7811,4339021,1371,6261,2751,0841,4393,9734,6221,7511,7671,3681,5042,421.71,176.61,006.2788.8595.4651578.6576.3520.8282.90764.3707.5975.8
Totaal kortlopende verplichtingen 5,6085,3454,3064,4214,8784,8494,8624,0235,3595,8835,0264,7524,1212,7572,8892,7812,4114,7274,4377,0646,5423,2722,9083,8263,6934,003.71,772.91,504.71,156.1929.61,040.4963996.3897.1713.80795.8742.81,144.8
Langlopende verplichtingen:
Langetermijnschulden 8,5478,7199,9729,89011,14110,42110,43012,21414,6877,8407,8164,8204,8203,8243,8242,5862,6272,7862,8133,5933,4151,1811,4031,0491,0561,369.7538.9200200643.1623.9656.7653.2189.8198.8199.6198241.1447.7
Uitgestelde opbrengsten niet-vlottend 000000000000000-157-348-603-8380-738000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00000000000000015734860383807380000000000041.48778.10183.4182.7197.5
Overige niet-vlottende verplichtingen 1,0951,2141,3151,3861,3331,2491,4441,3451,4012,2192,7662,0481,5201,3291,0681,2741,1371,4841,2431,0992,8594,7621,8621,2621,5391,507.2686.8572.7540.71,748.21,847.61,196.91,143.21,102.81,126.92,415.411.911.214.1
Totaal niet-vlottende verplichtingen 9,6429,93311,28711,27612,47411,67011,87413,55916,08810,05910,5826,8686,3405,1534,8923,8603,7644,2704,0564,6926,2745,9433,2652,3112,5952,876.91,225.7772.7740.72,391.32,471.51,853.61,837.81,379.61,403.82,615393.3435659.3
Totaal passiva 15,25015,27815,59315,69717,35216,51916,73617,58221,44715,94215,60811,62010,4617,9107,7816,6416,1758,9978,49311,75612,8169,2156,1736,1376,2886,880.62,998.62,277.41,896.83,320.93,511.92,816.62,834.12,276.72,117.62,6151,189.11,177.81,804.1
Eigen vermogen:
Preferente aandelen 0000000000000000009800000000000000000000
Gewone aandelen 2,6632,6642,6652,6662,6692,6712,6732,6742,6772,6792,6802,6822,6832,6742,6692,6662,6572,6501,3171,1461,1421,1411,1381,1321,12000000000000000
Ingehouden winsten 12,53610,5729,7108,69111,98913,73912,66814,14120,52421,80918,84217,18214,88012,37110,8639,4118,2025,0512,9758712,0713,1104,3273,7333,4533,2361,947.61,656.31,431.41,637.31,573.51,846.72,091.32,171.52,080.82,052.32,064.32,122.12,764.7
Overige gereserveerde algehele resultaten -331-230-183-362-362-355-469-454-363-399-307-309-273-240-213-215-104-437-3642,115-362-356-323-351-255-3,928.5-2,325.3-2,269.2-2,225.8-2,341.4000000000
Overige totale aandeelhoudersvermogen -5,477-5,058-5,479-6,021-6,284-6,533-6,550-6,977-7,376-7,822-7,634-3,790-4,092-4,432-4,591-4,137-3,8891122,346-200-304-337-390-586-314,753.72,962.42,772.12,544.22,646.3314.260.673.375.438.354.917.228.193.2
Totaal eigen vermogen van aandeelhouders 9,3917,9486,7134,9748,0129,5228,3229,38415,46216,26713,58115,76513,19810,3738,7287,7256,8667,3766,3723,9322,5473,5584,7523,9284,2874,061.22,584.72,159.21,749.81,942.21,887.71,907.32,164.62,246.92,119.12,107.22,081.52,150.22,857.9
Totaal eigen vermogen 9,4337,9776,7284,9838,0259,5448,3499,42315,49516,29813,61515,79013,21610,3878,7577,7446,9607,8236,5174,0402,6473,6294,7933,9664,4404,231.42,604.42,159.21,749.81,947.41,891.21,919.22,183.12,267.22,145.42,107.22,081.52,150.22,857.9
Totaal passiva en aandeelhoudersvermogen 24,68323,25522,32120,68025,37726,06325,08527,00536,94232,24029,22327,41023,67718,29716,53814,38513,13516,82015,01015,79615,46312,84410,96610,10310,72811,1125,6034,436.63,646.65,268.35,403.14,735.85,017.24,543.94,2634,722.23,270.63,3284,662