Gartner, Inc.

NYSE:IT

513.42 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 882.466807.799793.56266.745233.29122.4563.279193.582175.635183.766182.801165.903136.90296.28582.964103.87173.55358.192-2.43716.88923.69348.578-66.20327.27588.388.373.116.425.5156.8
Afschrijvingen & Amortisatie 143.303191.946212.405218.984211.779255.601240.17161.96947.13139.41234.44229.77132.06435.87427.02327.49527.75235.82437.15228.33737.3244.45353.2465.67631.627.318.212.98.17.36.5
Uitgestelde Inkomstenbelasting -64.173-30.702-41.567-53.19-55.7871.524-217.414-2.6480.344-0.75916.6630.973-0.965-2.6095.0032.6176.746.83-5.644-8.613-4.5674.066-34.973-10.4746.60.91.6-1.4-0.7-2.12.2
Aandelen Gebaseerde Vergoedingen 129.84190.56698.5762.5469.00866.17278.94346.66146.14938.84534.73536.37832.86532.63426.06620.69624.2411.031.031.29900000000000
Verandering in Werkkapitaal -24.662-34.509140.882264.94721.22857.037134.47665.48688.65103.06369.69572.81877.98460.11221.79350.34130.808-2.308-19.2723.26960.989.71116.085-26.603-62.9-59.9-50.7-29-1.5-22.6-22.9
Vorderingen -24.662-240.696-145.34699.409-66.729-115.003-368.516-68.661-44.476-76.424-28.097-38.6170-48.17725.34920.987000000000000000
Voorraden -85.2330-34.228.945-8.318-39.095-5.278-1.599-28.001-10.156-6.4550082.776-32.267-1.732000000000000000
Crediteuren -28.547-101.912121.243111.939-54.61355.235186.81156.4482.52396.62941.91737.41859.64359.64328.17928.17933.24124.74824.7481.39300000000000
Overig Werkkapitaal 113.78308.099199.18524.654150.888155.9321.45979.30678.60493.01462.3374.01718.341-34.130.5322.907-2.433-27.056-44.021.87660.989.71116.085-26.603-62.9-59.9-50.7-29000
Overige Niet-Contante Posten 89.00376.322108.62143.25285.918-31.63215.0620.582-12.348-17.548-22.682-26.029-23.284-16.797-0.912-20.67-14.7596.69616.2937.021.07238.74471.11619.69165.241.20.166.823.835.725.1
Kasstroom uit Operationele Activiteiten 1,155.7371,101.4221,312.47903.278565.436471.158254.517365.632345.561346.779315.654279.814255.566205.499161.937184.35148.335106.26427.12248.201136.337145.55239.26575.565128.897.887.265.755.234.517.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -103.124-108.05-59.834-83.888-149.016-126.873-110.765-49.863-46.128-38.486-36.498-44.337-41.954-21.694-15.142-24.332-24.172-21.113-22.356-25.104-28.928-19.639-57.546-55.895-89.5-69.7-21.5-15.6-14.5-4.1-2.9
Netto Overnames 157.281-9.508-22.9390-25.989510.924-2,634.809-34.186-170.604-109.928000-12.151-104.5237.8470-161.323-161.323-3.870-4.537-12.011-115.1620000000
Aankoop van Beleggingen 000011.869000000000000000-1.960.23900-14-58.2-13.2-4.3-24.8-4.10
Verkoop/verval van Beleggingen 000014.1200000000000002.059006.02514.43755.516104.6000000
Overige Investeringsactiviteiten 0-9.5082.3060-11.869510.924-2,641.78-48.196-25.625-14.3630-10.336-12.151-12.1517.8470.030.036160.6350.64-3.875.464-1.50810.50115.5730-17.3-49.6-46.9-8.2-4.9-3.3
Kasstroom uit Investeringsactiviteiten 54.157-117.558-80.467-83.888-160.885384.051-2,745.574-84.049-242.357-162.777-36.498-54.673-41.954-33.845-119.665-16.455-24.136-21.801-180.98-28.974-25.424-19.42-44.619-99.9681.1-145.2-84.3-66.8-47.5-13.1-6.2
Financieringsactiviteiten:
Schuldaflossingen -7.8-5.931-112.915-2,564.221-109.579-1,010.972-404.438-124.975-20-200-205.625-30-20.156-313.627-165.25-158.55100000000-250000000
Uitgifte van Gewone Aandelen 25.10722.23118.17318.08517.62914.68911.7119.257.499000023.52714.82244.70234.45846.73230.9667.91641.65522.1669.09513.10822.888.956.610.613.6560.5
Terugkoop van Gewone Aandelen -606.188-1,043.742-1,655.547-176.302-199.042-260.832-41.272-58.961-509.049-432.006-181.736-111.306-211.986-99.82-3.744-200.817-166.822-270.704-15.565-6.112-43.434-47.047-37.893-49.877-345.8-13.9000-34.8-15.5
Uitgekeerde Dividenden 000000000000000000000000-12500000-2
Overige Financieringsactiviteiten 588.88122.231610.8532,324.29922.62914.6892,985.549.25461.359423.336233.50668.73645.583418.364158.392374.83138.669132.44754.627-158.973-1.182-15.2389.93637.807499.3-12.1-1221-5.9-2.4-0.4
Kasstroom uit Financieringsactiviteiten -588.881-1,027.442-1,157.609-416.224-285.992-1,257.1152,539.83-174.686-67.69-208.67-153.855-72.57-186.559-171.556-73.78-119.835-93.695-91.52570.022-97.169-2.961-40.119-18.8621.038-198.762.944.631.67.718.8-17.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.013-18.425-26.37528.5813.614-6.48925.902-5.64-27.84-34.02-1.1634.543-4.4953.5097.153-17.07611.644.581-6.0088.10612.3531.652-0.354-3.831-0.1-0.2-1.8-0.30.200
Netto Kasstroomverandering 621-62.00348.019431.747122.173-408.39574.675101.2577.674-58.688124.138157.11322.5583.607-24.35530.98442.144-2.481-89.844-69.836120.30587.665-24.57-27.196-68.815.345.730.215.640.2-5.9
Kaspositie aan het Einde van de Periode 1,319.599698.599760.602712.583280.836158.663548.908474.233372.976365.302423.99299.852142.739120.181116.574140.929109.94567.80170.282160.126229.962124.79337.12861.69888.9157.7142.596.862.246.66.4