Hubbell Incorporated

NYSE:HUBB

424.92 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 336.1440.5286.2259.6182189375437.6343.5653.9740.7645569.6520.7258.5178.277.545.3110.6125.9220.84033.474.82430.175.2134.48738.944.228.391.6103.3101.166.961.45327.4
Kortetermijnbeleggingen 12.614.39.49.314.29.214.511.212.27.810.18.812.88.800035.9121.3215.601543.10000000000000000
Liquide middelen en kortetermijnbeleggingen 348.7454.8295.6268.9196.2198.2389.5448.8355.7661.7750.8653.8582.4529.5258.5178.277.581.2231.9341.5220.85576.574.82430.175.2134.48738.944.228.391.6103.3101.166.961.45327.4
Nettovorderingen 785.4741.6675.3634.7683725.4540.3530466.6469.8440.9405.2394.3341.8310.1357332.4354.3310.4288.5227.1221.2163.4209.8218.7200.2191172.4140.8143.9110115.693.791.983.871.167.369.266.3
Voorraad 832.9740.7662.1607.3633651634.7532.4540441.8385.7341.7318.3298.4263.5335.2322.9338.2237.1216.1207.9258242.6298.6278.5300.9275.9244.6236.4224.1181.7177.9140.8141.3128124.4106.5106.2115.2
Overige vlottende activa 200.284.366.876.76269.139.640.125.556.15555.558.556.485.848.755.240.740.746.353.562.125.836.831.633.654.139.835.93826.28.117.617.728.116.425.919.515
Totaal vlottende activa 2,167.22,021.41,879.31,587.61,574.21,643.71,604.11,551.31,387.81,629.41,632.41,456.21,353.51,226.1917.7919.1788814.4820.1892.4709.3596.3508.3620552.8564.8596.2591.2500.1444.9362.1329.9343.7354.2341278.8261.1247.9223.9
Niet-vlottende activa:
Materiële vaste activa, netto 799.7528459.5519.2505.2502.1458.3439.8419.7401.2377.1364.7359.6358.3372.2349.1327.1318.5267.8261.8295.8320.6264.2305.3308.9310.1251.9217.9204.2202154.6153.3147.6131.8108102.4100.299.190.7
Goodwill 2,533.41,970.51,871.31,923.31,811.81,784.41,089991928.5874.7800.4755.5727.3724741.2584.6466.6436.7351.5326.6322.7314.6267.90000000000000000
Immateriële activa 1,196669.9681.5810.6781.5819.5460.4431.5372.2322.8286.6288.1269.5367.2406227.6242.5181.6500.3422.5414.2416.90262241.3232.6190.5162.2137.9066.559.834.614.49.51010.410.510.8
Goodwill en immateriële activa 3,729.42,640.42,552.82,733.92,593.32,603.91,549.41,422.51,300.71,197.51,0871,043.6996.81,091.21,147.2812.2709.1618.3500.3422.5414.2416.9267.9262241.3232.6190.5162.2137.9066.559.834.614.49.51010.410.510.8
Langetermijnbeleggingen 7965.969.171.155.756.357.756.449.544.135.836.74230.228.135.1390.37965.780.176.592.50000000000000000
Belastingvorderingen 000000010.5000182.4211.6000-39-0.3-79-65.7-80.1-76.5-92.50000000000000000
Overige niet-vlottende activa 138.7146.9320.8173.3174.666.151.144.55150.654.9-136.6-11700039.20.378.865.780.176.5165267.2296.2282.9246.2214.1215394.7291.1263.7159.4124.3117.8132.397.275.764.5
Totaal niet-vlottende activa 4,746.83,381.23,402.23,497.53,328.83,228.42,116.51,973.71,820.91,693.41,554.81,490.81,4931,479.71,547.51,196.41,075.4937.1846.9750790.1814697.1834.5846.4825.6688.6594.2557.1596.7512.2476.8341.6270.5235.3244.7207.8185.3166
Totaal activa 6,9145,402.65,281.55,085.14,9034,872.13,720.63,5253,208.73,322.83,187.22,9472,846.52,705.82,465.22,115.51,863.41,751.51,6671,642.41,499.41,410.31,205.41,454.51,399.21,390.41,284.81,185.41,057.21,041.6874.3806.7685.3624.7576.3523.5468.9433.2389.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 563.5529.9532.8378347.7393.7326.5291.6289.5244225.9213.1215.7160.8130.8168.3154163.9159.5132.1103.686.255.569.975.969.860.952.534.337.52123.419.119.622.40000
Kortlopende schulden 1484.79.7153.165.456.168.13.248.21.40.314.12.91.80036.720.929.699.90067.7259.5127.1113.30.318.60139.491.173.80000000
Belastingschulden 21.14.54.84.663.427.58.42.15.811.814.123.3000018.52024.434.925.543.70000000000000000
Uitgestelde opbrengsten 111.545.816.730.93127.710.211.81518.215.816.418.100023.3177.6151.2157.100141.30000000000000000
Overige kortlopende verplichtingen 500.4508.1506386.2400.8361.8301.3283250.4235.6225203.8255.4282.4287.1256.7205.519.920.220.2184.8168.519.4160140.4161.9195.1184.3160.6155.2118.1103.391.785.579.10000
Totaal kortlopende verplichtingen 1,323.41,088.51,065.2948.2844.9839.3706.1589.6603.1499.2467447.4492.1445417.9425419.5382.3360.5409.3288.4254.7283.9489.4343.4345256.3255.4194.9332.1230.2200.5110.8105.1101.588.380.876.476
Langlopende verplichtingen:
Langetermijnschulden 2,023.21,437.91,435.51,436.91,5061,737.1987.1990.5595.9597.6597.2596.7596.3595.9497.2497.4199.4199.3199.2199.1298.8298.799.899.799.699.699.599.5102.12.72.72.78.18.18.18.18.38.63.6
Uitgestelde opbrengsten niet-vlottend 118.80-95.9-135.3-126.8-120-23.7-41.2-36.1-74.5-66.7-16.9-1600000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 240.3113.8114.7135.3126.812023.741.236.174.566.716.91600051.9220000069.91.12.912.716.112.94.614.829.528.226.925.313.710.28.6
Overige niet-vlottende verplichtingen 319391.8521.3614.6591.6496.8379.5341.7260.7290.3208.2235284.6201.4248.1185110132.4109.289.782.5112.785.289.990.5104.195.874.776.884.979.147.41814.6129.311.713.620.8
Totaal niet-vlottende verplichtingen 2,701.31,943.51,975.62,051.52,097.62,233.91,366.61,332.2856.6887.9805.4831.7880.9797.3745.3682.4361.3353.7308.4288.8381.3411.4185195.6200204.8198.2186.9195100.586.464.955.650.94742.733.732.433
Totaal passiva 4,024.73,0323,040.82,999.72,942.53,073.22,072.71,921.81,459.71,387.11,272.41,279.11,3731,242.31,163.21,107.4780.8736668.9698.1669.7666.1468.9685543.4549.8454.5442.3389.9432.6316.6265.4166.4156148.5131114.5108.8109
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.60.600000000000000
Ingehouden winsten 3,182.72,705.52,5602,393.72,279.42,064.41,892.41,879.31,886.11,944.11,932.61,715.71,515.81,338.61,2081,108962.7827.4749.1664.5590.1553.7548.3577.4519.1455.7366.9312.5238.3177203.8188.4160.4201.5216.7227.5230.2192.7159.7
Overige gereserveerde algehele resultaten -312.4-345.2-330.8-329.2-332.9-285.7-269.8-302.5-224.2-164.3-71-119.1-150.4-81.3-68.8-116.826-32.4-18.8-1.5-10.7-30.7-19.3-19.5-13.6-298.5-266.1-226.3-214.2-204.1000000000
Overige totale aandeelhoudersvermogen 6.1004.901.31115.478.1146.744.264101.8201.3158.416.393.3219.9267.2280.7249.7220.6206.9211349.7683.4729.5656.9643.2636.1353.9352.9358.5267.2211.1165124.2131.7121.2
Totaal eigen vermogen van aandeelhouders 2,8772,360.92,229.82,0701,947.11,780.61,634.21,592.81,740.61,927.11,906.41,661.21,467.81,459.21,298.21,008.11,082.61,015.5998.1944.3829.7744.2736.5769.5855.8840.6830.3743.1667.3609557.7541.3518.9468.7427.8392.5354.4324.4280.9
Totaal eigen vermogen 2,889.32,370.62,240.72,085.41,960.51,798.91,647.91,603.21,7491,935.71,914.81,667.91,473.51,463.51,3021,008.11,082.61,015.5998.1944.3829.7744.2736.5769.5855.8840.6830.3743.1667.3609557.7541.3518.9468.7427.8392.5354.4324.4280.9
Totaal passiva en aandeelhoudersvermogen 6,9145,402.65,281.55,085.14,9034,872.13,720.63,5253,208.73,322.83,187.22,9472,846.52,705.82,465.22,115.51,863.41,751.51,6671,642.41,499.41,410.31,205.41,454.51,399.21,390.41,284.81,185.41,057.21,041.6874.3806.7685.3624.7576.3523.5468.9433.2389.9