Jacobs Engineering Group Inc.

NYSE:J

148.64 (USD) • At close September 20, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986198519841983
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 926.5821,140.4791,014.249862.424631.068793.358774.151655.716460.859732.6471,256.4051,032.457905.633938.8421,033.619604.42613.352434.067239.849100.075126.15548.46949.26365.84853.5101.35662.939.145.620.522.831.820.223.730.427.113.17.752
Kortetermijnbeleggingen 000347.51451.133000000000000000000000000000000000032
Liquide middelen en kortetermijnbeleggingen 926.5821,140.4791,014.2491,209.934631.068793.358774.151655.716460.859732.6471,256.4051,032.457905.633938.8421,033.619604.42613.352434.067239.849100.075126.15548.46949.26365.84853.5101.35662.939.145.620.522.831.820.223.730.427.113.17.784
Nettovorderingen 3,558.8063,405.3813,101.4183,167.312,840.2093,573.632,102.5432,115.6632,548.7432,867.5552,548.992,348.8922,077.4941,659.8441,618.5611,957.7731,532.6021,304.2621,029.923902.444778.056845.36817.16710.979586394.8382.1276.7292.1291201.4201.4154.8166.1139.7112.80.530.753.84237
Voorraad 00000.952000160.298169.893131.086142.36900000000000000000000000000000
Overige vlottende activa 204.965176.134176.228162.355639.539208.296119.48693.091113.076121.976103.07788.359174.226168.356166.269188.041132.12479.63267.65980.99465.88681.07479.73674.19690.169.965.84437.430.943342016.19.11.362.61.93.4296
Totaal vlottende activa 4,690.3534,721.9944,291.8954,539.5994,111.7684,575.2842,996.182,864.473,282.9763,892.0714,039.5583,612.0773,157.3532,767.0422,818.4492,750.2342,278.0781,817.9611,337.4311,083.513970.097974.903946.159851.023729.6566503.9383.6368.6367.5264.9258.2206.6202.4172.5144.590.245.764.97947
Niet-vlottende activa:
Materiële vaste activa, netto 771.416823.5891,003.214896.286308.143457.706349.911319.673381.238456.797379.296331.131284.633215.032240.35256.14192.489171.276154.971151.182142.103149.905149.979150.491139.7100.693.47980.16043.535.430.528.622.119.515.816.517.31519
Goodwill 7,343.5267,184.6587,1975,639.0915,432.5446,107.8563,009.8263,079.6283,048.7783,026.3492,022.8312,010.341,745.7081,118.889929.842924.06626.686554.986547.909547.601395.80800000000000000000036
Immateriële activa 1,271.9431,394.0521,565.758658.34665.076655.957332.92336.922353.419440.192217.904243.762259.0060059.90324.74221.631589.189547.601395.808390.953317.664269.043245.577.275.440.541.938.614.99.39.810.25.95.81.61.63.200
Goodwill en immateriële activa 8,615.4698,578.718,762.7586,297.4316,097.626,763.8133,342.7463,416.553,402.1973,466.5412,240.7352,254.1022,004.7141,118.889929.842983.963651.428576.617589.189547.601395.808390.953317.664269.043245.577.275.440.541.938.614.99.39.810.25.95.81.61.63.236
Langetermijnbeleggingen 342.457240.3125.3161.3377.867502.588275.48300.62338.381343.314295.035273.75185.590-117.0660000-59.159-57.39500000000000000000055
Belastingvorderingen 53.13131.48103.193211.047514.633319.405368.7413.563213.767170.649197.458196.62161.540117.066107.59781.843112.791101.84759.15957.3950000000000000000001214
Overige niet-vlottende activa 144.283264.346346.249248.6952.6841.99947.84245.146167.367124.287122.062171.753255.598582.954439.973180.304185.583175.239170.283288.748162.502158.223143.238113.819105.463.771.569.443.338.327.713.813.212.512.210.49.812.312.3-3-1
Totaal niet-vlottende activa 9,926.7569,938.42510,340.7147,814.7547,350.9438,085.5114,384.6794,495.5524,502.954,561.5883,234.5863,227.3562,892.0751,916.8751,610.1651,528.0041,111.3431,035.9231,016.29987.531700.413699.081610.881533.353490.6241.5240.3188.9165.3136.986.158.553.551.340.235.727.230.432.83243
Totaal activa 14,617.10914,660.41914,632.60912,354.35311,462.71112,660.7957,380.8597,360.0227,785.9268,453.6597,274.1446,839.4336,049.4284,683.9174,428.6144,278.2383,389.4212,853.8842,353.7212,071.0441,670.511,673.9841,557.041,384.3761,220.2807.5744.2572.5533.9504.4351316.7260.1253.7212.7180.2117.476.197.711190
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,143.802966.792908.4411,061.7541,072.6451,127.671683.605522.427566.866622.875457.893376.694351.299303.877340.651702.091621.969509.267257.013195.918196.218229.579197.712224.063186.3101.8109.160.863.893.142.960.351.466.358.50000106
Kortlopende schulden 213.507200.586225.87164.312199.9014.9543.0712.42113.36436.73222.78387.065566.03179.39917.4950.9660.52914.4746.3511.2570.4675.96219.68818.469.50.21.40.716.69.200017.310.25.312.85.815.3268
Belastingschulden 110.19993.594.393104.7234.3983.15132.16337.02953.47652.37380.00387.06526.75906.49748.35327.84521.7543.9827.82116.73300000000000000000000
Uitgestelde opbrengsten 763.608641.705542.054465.648414.208524.439299.864319.46309.951410.683345.097263.275863.976661.278685.606825.587626.091495.7407.771377.168299.687322.618295.763000000000000000000
Overige kortlopende verplichtingen 1,301.6441,441.7621,533.5591,249.8831,386.9521,488.629939.687938.3781,090.9851,279.5561,061.8461,020.018276.739194.899252.14948.35327.84521.754113.96111.571115.042182.258187.496441.34389.2266.3215.2166.6174.9159.1121.4111.294.679.370.9117.250.732.142.73521
Totaal kortlopende verplichtingen 3,422.5613,250.8453,209.9242,941.5973,073.7063,145.6931,926.2271,782.6861,981.1662,349.8461,887.6191,747.0522,058.0451,239.4531,295.9011,576.9971,276.4341,041.195785.095685.914611.414740.417700.659683.863585368.3325.7228.1255.3261.4164.3171.5146162.9139.6122.563.537.9587135
Langlopende verplichtingen:
Langetermijnschulden 3,356.7013,964.7033,598.2912,412.1431,201.2452,146.877235385.33584.434764.075415.086528.262.0420.5090.73755.67540.4577.67389.63278.75817.80685.732164.308146.82135.426.254.136.317.82500006.39.212.30.91.648
Uitgestelde opbrengsten niet-vlottend -200.101000-233.111-152.613-177.765-156.494000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 221.158269.077214.383.366233.111152.613177.765156.494000000078.57820.976019.2830000000000000.81.61.40.52.51.20000
Overige niet-vlottende verplichtingen 583.729438.88977.4551,141.581,419.1021,408.871732.281861.824863.868834.078723.104796.338665.956579.027500.501315.663207.848304.531312.514295.689193.91152.3495.17452.94644.935.334.624.72217.612.94.65.66.47.58.59.410.311.31213
Totaal niet-vlottende verplichtingen 3,961.4874,672.664,790.1263,557.0892,620.3473,555.748967.2811,247.1541,448.3021,598.1531,138.191,324.598667.998579.536501.238449.916269.274382.204421.429374.447211.716238.072259.482199.766180.361.588.76139.842.612.95.47.27.814.320.222.911.212.91621
Totaal passiva 7,384.0487,923.5058,000.056,498.6865,694.0536,701.4412,893.5083,029.843,429.4683,947.9993,025.8093,071.65568.0731,818.9891,797.1392,026.9131,545.7081,423.3991,206.5241,060.361823.13978.489960.141883.629765.3429.8414.4289.1295.1304177.2176.9153.2170.7153.9142.786.449.170.98756
Eigen vermogen:
Preferente aandelen 00000000000010.3970000000000000000000000000000
Gewone aandelen 125.977127.393128.893129.748132.879142.218120.386120.951123.153131.753131.639129.936127.785125.909124.23122.701120.22258.99658.1356.69955.83654.76526.87226.38626.10000000000000098
Ingehouden winsten 4,542.8724,225.7844,015.5784,020.5753,939.1743,824.9913,721.6983,586.6473,496.2123,527.1933,300.9612,920.4412,564.2812,251.3662,009.3381,620.6731,272.3521,023.968947.519820.468692.943568.957472.01400.791359300.3249.8207.6168.2136.2118.689.464.745.731.821.722.318.818.300
Overige gereserveerde algehele resultaten -857.954-975.13-794.442-933.057-916.812-806.703-653.514-610.594-464.764-363.549-304.127-281.887-237.538-285.741-211.515-129.27-9.38-77.655-104.183-46.703-50.669-44.887-10.62-10.986-4.4-100.9-91-83.5-68.9-58.1-49.8-39.4-35.3-29.5-24.9-21.8-19.5-20.6-20.2-19-18
Overige totale aandeelhoudersvermogen 2,735.3252,682.0092,590.0122,598.4462,559.452,708.8391,239.7821,168.2721,137.1441,173.8581,084.624953.983858.46767.514703.86631.043460.468417.905239.176174.563143.973110.778103.53979.35268172165.5159.3139.5122.310589.877.566.851.937.628.228.828.73444
Totaal eigen vermogen van aandeelhouders 6,546.226,060.0565,940.0415,815.7125,714.6915,869.3454,428.3524,265.2764,291.7454,469.2554,213.0973,722.4733,323.3852,859.0482,625.9132,245.1471,843.6621,423.2141,140.6421,005.027842.083689.613591.801495.543448.7371.4324.3283.4238.8200.4173.8139.8106.98358.837.5312726.82434
Totaal eigen vermogen 7,233.0616,736.9146,632.5595,855.6675,768.6585,959.3544,487.3514,330.1824,356.4584,505.664,248.3353,767.7833,333.7822,864.9282,631.4752,251.3251,843.7131,430.4851,147.1971,010.683847.38695.495596.899500.747454.9377.7329.8283.4238.8200.4173.8139.8106.98358.837.5312726.82434
Totaal passiva en aandeelhoudersvermogen 14,617.10914,660.41914,632.60912,354.35311,462.71112,660.7957,380.8597,360.0227,785.9268,453.6597,274.1446,839.4336,049.4284,683.9174,428.6144,278.2383,389.4212,853.8842,353.7212,071.0441,670.511,673.9841,557.041,384.3761,220.2807.5744.2572.5533.9504.4351316.7260.1253.7212.7180.2117.476.197.711190