The Interpublic Group of Companies, Inc.

NYSE:IPG

31.08 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,098.4956.1972.8354.2673.9637.7595632.5480.5505.4288.9464.6551.5281.2143.4295167.6-31.7-271.9-544.9-552.999.5-534.5358.658321.9309.9239.1205.2129.8115.2125.3111.994.680.170.6
Afschrijvingen & Amortisatie 264.3274283.8290.6278.5202.9157.1160.2157163157.4147.7150.9148.4169.9173.3287.7260.5220.2239.4277.9300.5451.3299.541215.9179.1130.8103.591.275.67039.663.748.840.5
Uitgestelde Inkomstenbelasting 5.1-27-8.2-46.49.714.11.145.749.583.569.4103.683.95689.251.9-22.4-57.944.6128.271.555-191.2-31.54610.7-12.912.74.1-18.5-16.6-0.58.20.4-10.8-7.7
Aandelen Gebaseerde Vergoedingen 46.75070.16780.282.28285.670.354.343.144.551.75049.580.1055.142.331.4000000000000000
Verandering in Werkkapitaal -896.7-764.9644.1758.3414.2-447.9-5.5-509.8-174.2-161.7-5.5-340-462.2250.418.9167.3-185.6-253.7-133.4194.4219.9232.4-196.5-396.715-16.131-86.6-27.5-72.492.1-6.72.3-6076.4-21.6
Vorderingen -566.7-118.2-1,218.6551.4-111.2-603.837.6-220.7-236.1-20.1-157.1-44.7-219.2-547.6179.5283.90235.439.6-73.4264.10-208.7000000000000
Voorraden -151.8063313.7-38.5-300.9-379.4-67.5-282.366.1-270.2-128.1-77.3164.592.4-97.20-116-60.910.6-540.6076.6000000000000
Crediteuren 47.8-4081,858.1-27546428.7311.9-126.1400.9-177.1417.7-120.4-62.9646.3-1736.80-370-152.4243-228.8013.9000000000000
Overig Werkkapitaal -226-238.7-58.4-79.817.928.124.4-95.5-56.7-30.64.1-46.8-102.8-12.8-80-26.2-185.6-3.140.314.2725.2232.4-78.3-396.715-16.131-86.6-27.5-72.492.100000
Overige Niet-Contante Posten 36.9120.6113423.572.776.152.199.290.92539.6-63.2-102.331.369.997.78.936.778407384.4186.4619.470.241-0.10.116.6-0.3-9.6-8.2-7.7-8.2-14-9.7-9.6
Kasstroom uit Operationele Activiteiten 554.7608.82,075.61,847.21,529.2565.1881.8513.4674669.5592.9357.2273.5817.3540.8865.3298.19-20.2455.5502873.8148.5300.179562.3504.7277.1249164.4285.3202.6188.593.2188.476
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -179.3-178.1-195.3-167.5-198.5-177.1-155.9-200.7-161.1-148.7-173-169.2-140.3-96.3-67.1-138.4-147.6-127.8-140.7-194-159.6-183.2-268-201.871-400.1-258.5-177-79.1-69.6-55.9-78.8-36.9-46.6-37.2-45.6
Netto Overnames 52.4-252.6-16.3-4.9-0.6-2,309.8-30.6-52-40.7-53.6-61.5-145.5-63.1-8.3-61.3-78.1-81.8-30.7-91.7-175.4-224.6-281.4-310.6-576.61500000000000
Aankoop van Beleggingen -97.6-0.2195.3-13.500000.1-0.600-0.7-4.7-11.6-195.5-745.8-875.5-423.9-1,407-115.5-70.3-109.1-3.191-9.1000-8.500-1.6000
Verkoop/verval van Beleggingen 135.82.634.813.500000.114.2094.8133.553.6168.25.6702.71,045.6760.91,191.4180.7101.8122.127.0903.90.2105.22.800.41.911.5
Overige Investeringsactiviteiten 3.3-1.8-203.8-43.837.4-4.6-9.7-11.2-1.2-12.1109.711.8-52.81.22.14.720.561.840.4403.5-44-130.9-190.01657.910.91055.3-76.5-20.9-84.5-17.7-9.5-74.7-31.2
Kasstroom uit Investeringsactiviteiten -85.4-430.1-185.3-216.2-161.7-2,491.5-196.2-263.9-202.8-200.8-224.5-210.2-58.8-108.529.4-404.3-267.811.6166.4-544.684.5-477.1-696.5-944.603-351.3-243.7-71.8-72.8-154.6-71.6-160.5-56.2-55.7-110-65.3
Financieringsactiviteiten:
Schuldaflossingen -287.6-59.3-1,570.9-503.7-403.3-104.8-324.6-1.8-2-351.2-602.4-401.5-38.9-217.3-778.700000-184.6-384.800-380.3-1.7-253.80-70.800-25.10-67.50
Uitgifte van Gewone Aandelen 059.386.54.32,492.216.1-4665.945652.81,057.242.517.40000.9511.225.6734.358.685.645.26762.941.136.919.631.21319.410.46.94.55
Terugkoop van Gewone Aandelen -350.2-320.1-25.5-22.3-22.4-117.1-300.1-303.3-285.2-275.1-481.8-350.5-400.8-265.90-11.30000-28.6-7.9-118-236.756-300.5-164.9-144.1-86.9-69.7-44.5-37.2-51.9-17.1-31.7-36.3
Uitgekeerde Dividenden -479.1-457.3-427.7-398.1-363.1-322.1-280.3-238.4-195.5-159-137.6-115-145.7-41.1-49.8-27.6-27.6-47-42.6-43.4-26.4-145.6-144.4-123.51-90.4-79.7-61.2-51.8-46.1-40.4-35.9-32.5-29.3-24.4-21.4
Overige Financieringsactiviteiten -92.6-122931.9571.4-58.5-95-116-76.9-56-14.6-43.3-58.91.9-40.8561.5-236.9-9.7-83.6-58.5-232.4-2720.4852.3680.182760.53.3507.4-1.3141.5-35.562.40.170.3134.90.5
Kasstroom uit Financieringsactiviteiten -634.3-899.4-1,084.2-346.2-8431,853.2-1,004.9-666.4-472.8-343.9-1,212.3131.3-541-547.7-267-275.8-37.3-129.7410.1-250.2467.7-459.3675.5365.18352.2-201.985.2-120.4-13.9-107.48.7-9930.815.8-52.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 71.6-45.431-6-47.316.811.6-156.1-101-94.1-6.2-46.719.484.8-92.966.2-11.1-30.817.818.560.4-36.9-41.523-42.211.6-43.8-5.88.915.2-14.3-17.2-8.1-3.8-9.2
Netto Kasstroomverandering -155.3-719.1760.71,315.8518.5-120.5-302.5-405.3-157.723.8-938272.1-373180.538892.359.2-120.2525.5-321.51,072.7-2.290.6-320.764220.970.7246.7504.8121.536.516.160.290.4-50.7
Kaspositie aan het Einde van de Periode 2,3902,553.13,272.22,511.51,195.7677.2797.71,097.61,502.91,660.61,636.82,574.82,302.72,675.72,495.22,107.22,014.91,955.72,075.91,550.42,005.7933935.2708.312981.4808.8715.2468.4418.5413.8292.3255.8239.6179.589