IDEX Corporation

NYSE:IEX

210.5 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 534.3430.2855.41,025.851632.581466.407375.95235.964328.018509.137439.629318.864230.259235.13673.52661.353102.75777.94177.297.2748.5526.9524.9728.4152.92.711.85.35.96.33.52.41.50.83.51.2
Kortetermijnbeleggingen 4.4045.3000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 534.3430.2855.41,025.851632.581466.407375.95235.964328.018509.137439.629318.864230.259235.13673.52661.353102.75777.94177.297.2748.5526.9524.9728.4152.92.711.85.35.96.33.52.41.50.83.51.2
Nettovorderingen 427.8442.8356.4293.146298.186314.753294.166272.813260256.04253.226256.095252.845213.553183.178205.269193.326166.485132.544119.567101.859101.49493.053104.95100.88680.891.270.359.443.339.329.931.227.128.2
Voorraad 420.8470.9370.4289.91293.467279.995259.724252.859239.124237.631230.967234.95254.258196.546159.463214.16177.435160.687126.576126.978105.304105.58104.111113.052106.1101.284.297.5101.178.16163.842.4434439.1
Overige vlottende activa 63.455.495.848.32437.21131.37774.20361.08535.54272.98367.13171.95651.79947.52330.36424.42323.61512.79511.0917.4198.7817.23412.7675.6723.9620.57.28.67.67.711.20.70.70.60.5
Totaal vlottende activa 1,446.31,399.31,6781,657.2311,261.4451,092.5321,004.043822.721862.6841,075.791990.953881.865789.161692.758446.531505.205637.138417.908347.501261.238224.496221.26214.903232.089213.7195.9197.3201.2185.9151.4115.5116.774.575.775.269
Niet-vlottende activa:
Materiële vaste activa, netto 430.3382.1327.3298.273280.316281.22258.35247.816240.945219.543213.488219.161213.717188.562178.283186.283172.999165.949145.485155.602147.095148.246144.146128.283129.9125.488.6102.491.366.253.552.335.532.33027.5
Goodwill 2,838.32,638.12,167.71,895.5741,779.7451,697.9551,704.1581,632.5921,396.5291,321.2771,349.4561,321.7271,431.3661,207.0011,180.4451,167.063977.019912.600559.008530.663454.560000000000000
Immateriële activa 3,850.1947.8597.3415.563388.031383.327414.746435.504287.837271.164311.227341.372382.222281.392281.354303.226191.766171.363720.484743.16419.40119.37712.776388.163385.1360.8293.8274.5184.2148.884.87827.82020.821.7
Goodwill en immateriële activa 3,850.13,585.92,7652,311.1372,167.7762,081.2822,118.9042,068.0961,684.3661,592.4411,660.6831,663.0991,813.5881,488.3931,461.7991,470.2891,168.7851,083.963720.484743.164578.409550.04467.336388.163385.1360.8293.8274.5184.2148.884.87827.82020.821.7
Langetermijnbeleggingen -291.90.3-196.4-163.863-146.574-128.007-137.638-166.427-110.483-130.368-144.908-121.349-142.482-148.534-148.806-144.33600000000000000000000
Belastingvorderingen 291.9264.2196.4163.863146.574128.007137.638166.427110.483130.368144.908121.349142.482148.534148.806144.33600000000000000000000
Overige niet-vlottende activa 138.5-119.9146.9147.757104.37515.76518.33116.31117.44820.29522.45321.26519.64123.717.33314.5410.6723.00130.7126.28810.73911.50412.41910.3199.913.719.55.74.74.75.26.35.36.47.79.9
Totaal niet-vlottende activa 4,418.94,112.63,239.22,757.1672,552.4672,378.2672,395.5852,332.2231,942.7591,832.2791,896.6241,903.5252,046.9461,700.6651,647.4151,671.1121,352.4561,252.913896.679925.054736.243709.79623.901526.765524.9499.9401.9382.6280.2219.7143.5136.668.658.758.559.1
Totaal activa 5,865.25,511.94,917.24,414.3983,813.9123,470.7993,399.6283,154.9442,805.4432,908.072,887.5772,785.392,836.1072,393.4232,093.9462,176.3171,989.5941,670.8211,244.181,186.292960.739931.05838.804758.854738.6695.8599.2583.8466.1371.1259253.3143.1134.4133.7128.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 179.7208.9178.8151.993138.463143.196147.067128.933128.911127.462133.312117.341110.977104.05573.0287.30484.20975.44469.47371.40556.25261.15341.2643.34244.339.53540.736.834.621.419.714.2000
Kortlopende schulden 0.621.617.60.0880.3880.4830.2581.0461.08798.9461.8717.3352.444119.4458.3465.8565.838.213.144000088.077000000000000
Belastingschulden 18.530.217.913.4539.90523.84428.0338.8083.8369.30511.74610.2848.45626.1690000000000000000000000
Uitgestelde opbrengsten 55.944.74928.37417.6338.05511.03112.6079.88511.8139.4559.6827.9547.172-2.742.699.12595.1774.35800000000000000000
Overige kortlopende verplichtingen 264.1268.4234.6218.603201.393212.927202.619166.572169.714173.747159.971157.069136.903122.996108.316123.4959.7898.4286.32176.8559.42947.17946.07846.39247.340.842.852.24634.821.220.317.5000
Totaal kortlopende verplichtingen 500.3543.6480399.058357.877364.661360.975309.158309.597411.968304.609291.427258.278353.668186.942219.255198.953187.252153.296148.255115.681108.33287.338177.81191.680.377.892.982.869.442.64031.730.730.427.9
Langlopende verplichtingen:
Langetermijnschulden 1,325.11,468.71,190.31,044.354848.864848.335858.7881,014.235839.707765.006772.005779.241806.366408.45391.754548.144448.901353.77156.899225.317176.546241.051291.82153.809268.6283.4258.4271.7206.2168.2117.5139.865.8103.9124.9143.3
Uitgestelde opbrengsten niet-vlottend 17.31532.230.3542.1293.0273.2972.4423.7634.6125.5786.5343.198-148.534-148.806000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 291.9264.2196.4163.863146.574128.007137.638166.427110.483130.368144.908121.349142.482148.534148.806144.336124.472100.316000000000000000000
Overige niet-vlottende verplichtingen 189.4180.8215.2236.443195.239133.593152.388118.78898.602109.66587.488121.841112.648255.645247.14697.0254.54550.211110.97599.11576.4174.87658.53452.73249.446.124.323.726.217.215.214.88.54.11.741.6
Totaal niet-vlottende verplichtingen 1,823.71,928.71,634.11,475.0141,192.8061,112.9621,152.1111,301.8921,052.5551,009.6511,009.9791,028.9651,064.694664.095638.9789.5627.918504.297267.874324.432252.956315.927350.354206.541318329.5282.7295.4232.4185.4132.7154.674.3108126.6184.9
Totaal passiva 2,3242,472.32,114.11,874.0721,550.6831,477.6231,513.0861,611.051,362.1521,421.6191,314.5881,320.3921,322.9721,017.763825.8421,008.755826.871691.549421.17472.687368.637424.259437.692384.352409.6409.8360.5388.3315.2254.8175.3194.6106138.7157212.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000
Gewone aandelen 0.90.90.90.9010.8990.9010.9020.9020.9020.8980.8920.8770.860.8460.8350.8280.8170.5380.5290.510.3310.3250.3080.3030.300000000000
Ingehouden winsten 3,934.33,531.73,126.52,841.5462,615.1312,342.0792,057.9151,834.7391,666.681,483.8211,293.741,113.5411,142.4121,005.04896.977845.396753.519638.579524.035439.137375.629331.635295.489279.907233.3195.5149.4105.267.733.52.6-2.9-39.5-56.6-74.5-85.5
Overige gereserveerde algehele resultaten -45.8-126.2-69.6-13.525-127.345-129.225-89.507-201.653-146.498-92.278-3.305-43.403-55.469-12.70925.428-0.42366.3816.43510.37943.81320.88-5.761-18.478-20.844-4.3-126.3-108.7-136.3-130-121.1000000
Overige totale aandeelhoudersvermogen -348-367.1-254.7-288.719-225.456-220.579-82.768-90.094-77.79394.01281.662393.983425.332382.483344.864321.761342.007323.72288.067230.145195.262180.592123.793115.13699.7216.8198226.6213.2203.981.161.676.652.351.20.8
Totaal eigen vermogen van aandeelhouders 3,541.43,039.32,803.12,540.2032,263.2291,993.1761,886.5421,543.8941,443.2911,486.4511,572.9891,464.9981,513.1351,375.661,268.1041,167.5621,162.723979.272823.01713.605592.102506.791401.112374.502329286238.7195.5150.9116.383.758.737.1-4.3-23.3-84.7
Totaal eigen vermogen 3,541.23,039.62,803.12,540.3262,263.2291,993.1761,886.5421,543.8941,443.2911,486.4511,572.9891,464.9981,513.1351,375.661,268.1041,167.5621,162.723979.272823.01713.605592.102506.791401.112374.502329286238.7195.5150.9116.383.758.737.1-4.3-23.3-84.7
Totaal passiva en aandeelhoudersvermogen 5,865.25,511.94,917.24,414.3983,813.9123,470.7993,399.6283,154.9442,805.4432,908.072,887.5772,785.392,836.1072,393.4232,093.9462,176.3171,989.5941,670.8211,244.181,186.292960.739931.05838.804758.854738.6695.8599.2583.8466.1371.1259253.3143.1134.4133.7128.1