HP Inc.

NYSE:HPQ

35.99 (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 3,2633,2036,5032,8443,1525,3272,5262,4964,5545,0135,113-12,6507,0748,7617,6608,3297,2646,1982,3983,4972,539-9034083,5613,1042,9453,1192,5862,4331,5991,177881755739829
Afschrijvingen & Amortisatie 8507807857897445283543324,0614,3344,6115,0954,9844,8204,7733,3562,7052,3532,3442,3952,5272,1191,3691,3681,3161,8691,5561,2971,1391,006846673624566462
Uitgestelde Inkomstenbelasting -923574-60570133-3,653238401-700-34-410-7111661973791,035415693-16226-279-351-970-689-171-1,263-232-284-102-156-137-35-4178-6
Aandelen Gebaseerde Vergoedingen 43834333027829726822418270956050063568566863560662953600000000000000000
Verandering in Werkkapitaal -464-990-1,141-514-2011,607-161-337-4,41355227-2,771-1,889-3,888-1,099785-1,2861,3501,584-1,589-445402580-720-1,3661,549-323-49-1,637-282-744-231214-584-789
Vorderingen 2781,260-80575-761-491-4535655072,4371,0141,269383-1,6758275474-2298000000000000000
Voorraden 668233-2,164-386-68-136-1,346-291-330-580-4890-1,252-2701,53289-633-1,109-208-1,341-6387651,096-845-171563-279-356-1,740-582-1,056-267-181-145-324
Crediteuren -1,240-9281,257-35-531,4292,161928311,912541-1,414275-698-1531,630-3461,8798463000000000000000
Overig Werkkapitaal -170-1,555-154-668681805-523-1,539-4,621-3,217-1,524-3,516-1,295-1,245-2,486-1,209-354576968-349193-363-516125-1,195986-4430710330031236395-439-465
Overige Niet-Contante Posten 4075535378495294514961562,2791,9081,76720,9731,6191,3641,0318025577661,8648988138-4-343213342201-94-220570332000
Kasstroom uit Operationele Activiteiten 3,5714,4636,4094,3164,6544,5283,6773,2306,49012,33311,60810,57112,63911,92213,37914,5919,61511,3538,0285,0886,0575,4442,5614,4253,0345,4424,3213,4561,6132,2241,1421,2881,552799496
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -609-791-582-580-671-546-402-433-3,603-3,853-3,199-3,706-4,539-4,133-3,695-2,990-3,040-2,536-1,995-2,126-1,995-1,710-1,527-1,737-1,134-1,997-2,338-2,201-1,601-1,257-1,405-1,032-862-955-857
Netto Overnames -7-2,755-8543-458-1,03669468-2,398-43-167-54-10,391-7,977-391-11,248-6,793-855-641-1,124-149362447868542413333316294-62215183163159120
Aankoop van Beleggingen -11-52-28-693-80-367-1,919-126-259-1,086-1,243-972-96-51-160-178-282-46-1,729-715-596-351-434-1,131-1,015-4,059-5,213-7,386-3,499-3,090-1,634-782-512-42-58
Verkoop/verval van Beleggingen 2193044177718475351333021,3471,15366268200171280425942,0661,0648753817421,0041,0484,7734,1587,0743,6692,4391,2838834653174
Overige Investeringsactiviteiten 1640148-1636913866964248436536179996024954255675565424473534,436223-130-69754822-38360-63-518-249-181-531
Kasstroom uit Investeringsactiviteiten -590-3,549-1,012-1,016-438-716-1,71748-5,534-2,792-2,803-3,453-13,959-11,359-3,580-13,711-9,123-2,787-1,757-2,454-1,5123,118-549-1,126-628-795-3,012-2,175-1,175-1,610-1,604-1,266-1,414-966-1,152
Financieringsactiviteiten:
Schuldaflossingen -1,455-693-1,245-1,849-1,536-3,694-87-2,188-15,867-6,037-5,875-7,108-2,336-1,323-9,566-6,293-2,550-193-1-1720000000-811-857-155-966-416-6470-735
Uitgifte van Gewone Aandelen 03,680001271,4551,094483712972887168962,6171,8371,8103,1032,5381,161570482377354748660467419363361300308293251220223
Terugkoop van Gewone Aandelen -100-4,297-6,249-3,107-2,405-2,557-1,412-1,161-2,883-2,728-1,532-1,619-10,117-11,042-5,140-9,620-10,887-7,779-3,514-3,309-751-671-1,240-5,570-2,643-2,424-724-1,089-686-325-314-530-790-140
Uitgekeerde Dividenden -1,037-1,037-938-997-970-899-894-858-1,250-1,184-1,105-1,015-844-771-766-796-846-894-926-972-977-801-621-638-650-625-532-450-358-280-228-183-120-102-85
Overige Financieringsactiviteiten -3022792,4702,980-615248-10,26420,9733,0812815,16610,8357,6066,96212,8795,581251-1,743-276-303-4722771651,592-1,091-2851,6181,7183141,91083052201,485
Kasstroom uit Financieringsactiviteiten -2,894-2,068-5,962-2,973-4,845-5,643-1,251-14,4231,344-6,571-7,943-3,860-1,566-2,913-6,673-2,020-5,599-6,077-5,023-4,159-1,549-1,567-1,230-5,295-1,041-3,673-1,122-369178-146710-6-590338748
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000000000462-22-138167656
Netto Kasstroomverandering 87-1,154-565327-629-1,831709-11,1452,3002,9708623,258-2,886-2,3503,126-1,140-5,1072,4891,248-1,5252,9966,995782-1,9961,365974187912616468710-6-590338748
Kaspositie aan het Einde van de Periode 3,2323,1454,2994,8644,5375,1666,9976,28817,43315,13312,16311,3018,04310,92913,27910,15311,29316,40013,91112,66314,18811,1924,1973,4155,4114,0463,0722,8851,9731,3571,3516194871,2441,562