ITT Inc.

NYSE:ITT

138.69 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 489.2561.2647.5859.8612.1561.2389.8460.7415.7584507.3544.56901,0321,215.6964.91,840937.1451262.9414.2202.2121.388.7181.7880.9192.2121.994568
Kortetermijnbeleggingen 0000000064.95.4112.938.200000.7-0.3000000000000
Liquide middelen en kortetermijnbeleggingen 489.2561.2647.5859.8612.1561.2389.8460.7415.7584507.3582.76901,0321,215.6964.91,840937.1451262.9414.2202.2121.388.7181.7880.9192.2121.994568
Nettovorderingen 701628.8555.1507.5578.4540629.6523.9584.9500.1496.7440.33961,9441,796.71,961.11,9351,288.91,273.71,174.3974.6868.3741.7814.9834.7842.61,252.41,189.81,25716,999
Voorraad 575.4533.9430.9360.5392.9380.5311.9295.2292.7302.3315.9304.2254856802.3803.8887.6755.9666.9708.4578.5552.9528.9531.3545.8578.9812.8856.99081,049
Overige vlottende activa 92.1112.988.6189.5153.4163.4147.4122204.4249.8345.6126.6422536207.1131161.3286306.776.47077.166.971.466.180120120.524358,233
Totaal vlottende activa 1,857.71,836.81,722.11,917.31,736.81,645.11,478.71,401.81,497.71,636.21,665.51,540.41,7624,3684,255.84,064.24,929.83,347.72,7722,329.22,105.51,700.51,458.81,506.31,628.32,382.42,377.42,289.12,50276,849
Niet-vlottende activa:
Materiële vaste activa, netto 648.4526.8509.1525.1531.5518.8521.7464.5443.5443.9426.2373.13241,2051,051993.9980.3833841980.9893.3841.2791865.4847991.62,024.32,166.72,2355,346
Goodwill 1,016.3964.8924.3944.8927.2875.9886.8774.7778.3632.1659.8651.45104,2773,8643,831.33,829.72,336.8000000000000
Immateriële activa 124.5112.885.7106.4138136.1156.2160.3187.291.4106.9136.788766518.9616.5760213.22,4692,754.41,703.91,624.91,4101,3731,206865.31,116.5349.83630
Goodwill en immateriële activa 1,140.81,077.61,0101,051.21,065.21,0121,043935965.5723.5766.7788.15985,0434,382.94,447.84,589.72,5502,4692,754.41,703.91,624.91,4101,3731,206865.31,116.5349.83630
Langetermijnbeleggingen 46.642.914.511.79.87.76.75.65.63.94.78.6-4500000000000000000
Belastingvorderingen 7654.763.4158.3138.1164.5149.9297.4326.1304.1303.621.445563583.2608.529.7136.187.5212.1373.3546.3310.90000000
Overige niet-vlottende activa 163.1241.5246.3614626.3498.7500.2497.4485.2519.9573.5654.59871,255856.2365.81,023.2563.2893.91,000.1861.6676.7537.7866.7848.5809.5702.3685.677918,659
Totaal niet-vlottende activa 2,074.91,943.51,843.32,360.32,370.92,201.72,221.52,199.92,225.91,995.32,074.71,845.71,9098,0666,873.36,4166,622.94,082.34,291.44,947.53,832.13,689.13,049.63,105.12,901.52,666.43,843.13,202.13,37724,005
Totaal activa 3,932.63,780.33,565.44,277.64,107.73,846.83,700.23,601.73,723.63,631.53,740.23,386.13,67112,43411,129.110,480.211,552.77,4307,063.47,276.75,937.65,389.64,508.44,611.44,529.85,048.86,220.55,491.25,879100,854
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 437401.1373.4306.8332.4339.2351.4301.7314.7309.6332.73473641,4721,291.31,234.61,296.8929.4799.6719.8635.3484400.5386383.1396.2848.3731.87810
Kortlopende schulden 207.2451197.6106.886.5116.2163.6214.3245.71.539.8311.3211751,6793,083597751.4729.2141.5299.6517629.9609.3251.61,650.8835.66460
Belastingschulden 30.727.133.636.92733.736.13130.92829.832.4000000000000000000
Uitgestelde opbrengsten 133.692.269.173.774.682.2261.8233.5266.7316.4319.454.60-171,176.11,048.11,0071,067.4935.5994.6905.3000000000
Overige kortlopende verplichtingen 260241.2288.2383.7356.2334.5122.6116.7126147.9140.792.44681,26273.268.869.5165.673.92.24.5946.6979.11,216.81,1181,5031,045.89711,2345,021
Totaal kortlopende verplichtingen 1,037.81,185.5928.3871849.7872.1899.4866.2953.1775.4832.6805.38342,7282,615.64,030.55,456.32,759.42,560.42,445.81,686.61,730.21,896.62,232.72,110.42,150.83,544.92,538.42,6615,021
Langlopende verplichtingen:
Langetermijnschulden 5.766.673.985.4768.88.21.82.309.18.541,3541,430.8467.9483500.4516.3542.8460.9492.2456.4408.4478.8515.5532.2583.29610
Uitgestelde opbrengsten niet-vlottend 72.3097130.2113.9-8.8-8.2-1.8-2.30-9.1-8.5001,752.1-26.70-0.2000000000000
Uitgestelde belastingverplichtingen niet-vlottend 2531.12911.9242519.324.944.5112.2116.2135.10036.426.7310.10.20000000031.6109.51210
Overige niet-vlottende verplichtingen 252.7239.7206.51,051.2966.31,124.81,183.71,282.21,360.61,523.61,584.51,742.52,1393,8471,415.92,921.91,358.51,305.41,263.31,945.11,942.42,029.9779.6759.1841.51,082.51,289.51,460.91,50990,374
Totaal niet-vlottende verplichtingen 355.7337.4406.41,278.71,180.21,149.81,2031,307.11,405.11,635.81,700.71,877.62,1435,2014,635.23,389.82,151.61,805.81,779.62,487.92,403.32,522.11,2361,167.51,320.31,5981,853.32,153.62,59190,374
Totaal passiva 1,393.51,522.91,334.72,149.72,029.92,021.92,102.42,173.32,358.22,411.22,533.32,682.92,9777,9297,250.87,420.37,607.94,565.24,3404,933.74,089.94,252.33,132.63,400.23,430.73,748.85,398.24,6925,25295,395
Eigen vermogen:
Preferente aandelen 00000000424.100287.500000000000000000655
Gewone aandelen 82.182.785.586.587.887.688.288.489.5919191.993183181.6180.6180.7182.6184.692.392.391.888.887.987.90000106
Ingehouden winsten 2,7782,509.72,461.62,319.32,372.42,110.31,856.11,789.21,696.71,445.11,320.3898.88525,4094,736.84,2033,528.83,024.92,6662,589.12,277.11,939.11,5141,306.91,113.81,271.5188.5151.406,749
Overige gereserveerde algehele resultaten -331.9-344.3-321.3-279.4-385.3-375.5-348.2-451.2-424.1-321.2-210.3-287.5-251-1,087-1,040.1-1,323.7235.3-342.7-127.2-338.4-521.7-893.6-227-183.6-102.6-1,315-2,506.1-2,925.1-2,820-1,489
Overige totale aandeelhoudersvermogen 00000000-424.1-0-0-287.500000000000001,343.53,139.93,572.93,447-562
Totaal eigen vermogen van aandeelhouders 2,528.22,248.12,225.82,126.42,074.91,822.41,596.11,426.41,362.11,214.91,201703.26944,5053,878.33,059.93,944.82,864.82,723.42,3431,847.71,137.31,375.81,211.21,099.11,300822.3799.26275,459
Totaal eigen vermogen 2,539.12,257.42,230.72,127.92,077.81,824.91,597.81,428.41,365.41,220.31,206.9703.26944,5053,878.33,059.93,944.82,864.82,723.42,3431,847.71,137.31,375.81,211.21,099.11,300822.3799.26275,459
Totaal passiva en aandeelhoudersvermogen 3,932.63,780.33,565.44,277.64,107.73,846.83,700.23,601.73,723.63,631.53,740.23,386.13,67112,43411,129.110,480.211,552.77,4307,063.47,276.75,937.65,389.64,508.44,611.44,529.85,048.86,220.55,491.25,879100,854