Jabil Inc.

NYSE:JBL

131.73 (USD) • At close November 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,38881899669856.779289.47487.541127.167254.896285.612242.265370.091396.089382.958170.766-1,165.212133.89273.236164.518231.847166.943.00734.715118.517145.64891.556.952.524.37.32.68.13.210.3
Afschrijvingen & Amortisatie 696924925876794.581771.833773.704760.405696.752529.176487.278418.117353.492319.179283.284291.997276.311239.702197.274219.121221.668224.439188.308155.38899.3375635.724.918.2129.56.84.74.2
Uitgestelde Inkomstenbelasting -6485-13-1329.20920.99852.705-63.001-23.155-10.912-38.971-123.16502.2662.331102.375-67.448-32.1469.2124.609-43.142-28.9580.9229.05613.7694.6-5.4-1.8-2.92.3-0.80.10.40
Aandelen Gebaseerde Vergoedingen 8995811028361.34690.66448.54458.99762.5610.62468.38381.40576.23104.60944.02636.40443.28743.8481.8800000000000000
Verandering in Werkkapitaal 472-206-347-266120.257-29.535-111.458256.961-94.741346.92-44.359456.855-212.2370.221-169.956180.803-9.189-215.308-40.628127.10694.654-34.5259.761-111.781-224.678-46.75.5-4.262.4-33.4-25.3-268.1-6.4
Vorderingen -232267-878-283-135.973-586.511-316.262-31.353122.115-292.706-116.4580.75-22.62648.232-247.133169.741-60.788126.017-299.369-31.071.489-286.64480.4300000000000
Voorraden 1,179370-1,725-1,276-77.32483.074-499.105-445.08967.966-483.071160.7950.229-53.268-158.545-969.348283.816-27.602201.546-577.934-106.291-133.90768.64154.51697.698-255.615-68.410.6-31.326.8-36.7-23.3-12.50.33.6
Crediteuren 106-8532,8661,310592.972112.09815.258744.47-86.06984.651-177.586485.97221.955305.8141,172.77-292.671119.906-482.824868.24244.083197.963194.70267.83700000000000
Overig Werkkapitaal -58110-610-17-259.422-38.188-111.349-11.067-198.762138.04688.895-80.096-158.298-195.28-126.24519.917-40.705-60.047-31.56520.38429.109-11.198-43.022-209.47930.93721.7-5.127.135.63.3-2-13.57.8-10
Overige Niet-Contante Posten -86518936173.36578.9540.694126.56723.45826.926-157.9823.60815.47747.15536.3761,103.3241.89575.11873.9525.43811.16159.50571.36211.5991.34-0.1-0.1-2-1.9-1.2-0.4-0.20.10.1
Kasstroom uit Operationele Activiteiten 1,7161,7341,6511,4331,257.2751,193.066933.851,256.643916.2071,240.282498.8571,213.889634.226828.009427.41557.309411.865183.889448.176590.001451.241263.493554.108182.77935.416107.398.469.4100.1-13-14.4-11.216.58.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -784-1,030-1,385-1,159-983.035-1,005.48-1,036.651-716.485-924.239-963.145-624.06-736.858-497.697-458.989-398.425-292.238-337.502-302.19-279.861-256.849-217.741-117.215-85.4600-150.1-99.8-93.8-27.3-25.8-15.4-25.7-7.6-2.1
Netto Overnames 2,01821-18-50-146.909-153.239-109.664-36.62-242.143-167.441531.189-650.054-125.0983.985-27.14-4.176-58.243-771.898-166.686-216.06-1.492-415.166-278.617-448.402-369.855000000000
Aankoop van Beleggingen 0000000-2.033-10.25-11.939-3.6-3.342023.48300000000000-27.200000000
Verkoop/verval van Beleggingen 000000017526.03115.784161.138005.8000000000027.176000000000
Overige Investeringsactiviteiten 117286545358208.831286.265347.9310.673-29.385.294-415.79216.925-0.557-14.69210.23911.02519.66629.077-15.78513.6414.88813.7046.8866.3393-62.30.40.40.40.20.90.20
Kasstroom uit Investeringsactiviteiten 1,351-723-858-851-921.113-872.454-798.384-579.465-1,179.981-1,121.44760.667-1,374.462-605.87-426.278-440.257-286.175-384.72-1,054.422-417.47-488.694-205.593-517.493-350.373-441.516-336.34-174.3-162.1-93.4-26.9-25.4-15.2-24.8-7.4-2.1
Financieringsactiviteiten:
Schuldaflossingen -111-157-123111233-27471.408-45.043458.293-21.295-224.136178.034484.994-14.597-46.368-141.974122.772740.9079.74715.242-347.331295.26-8.333329.216-32.49-48.337.5-8.3-48.338.728.222.6-9.1-6
Uitgifte van Gewone Aandelen 000000000000000.586016.47525.112131.64350.26228.89117.11114.68116.642542.816205.32.83.640.10.70.814.100
Terugkoop van Gewone Aandelen -2,500-487-696-428-215-350-450.319-306.64-148.34-85.576-260.274-129.262-70.991-209.9890-0.85500-200.251000000000001.1000
Uitgekeerde Dividenden -42-45-48-50-50.462-52.004-57.833-59.959-62.436-63.138-68.211-67.181-65.24-60.411-59.869-59.583-58.634-57.604-14.855000000000000000
Overige Financieringsactiviteiten -159-21-46-32.66113.232-10.37.0965.9957.46-24.198-4.584-31.4057.5125.3716.49912.5246.7255.81-4.56400.04905.9292.2510.410.92.92.800.10-0.1
Kasstroom uit Financieringsactiviteiten -2,668-680-888-413-65.123-415.772-47.044-404.546253.512-162.549-576.819-22.993317.358-267.722-100.28-195.91393.137715.14-67.90660.94-318.44312.426.348351.787512.577157.441.3-3.8-5.342.230.136.8-9.1-6.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -2-564-40.8250.554-20.3925.2288.358-42.5726.171-22.317-17.06910.273-18.81628.128-10.98445.45514.69212.502-5.6340.5930000.100-0.138.429.63600
Netto Kasstroomverandering 397326-89173230.214-94.60668.03277.86-1.904-86.286-11.124-205.883328.645144.282-131.943103.349109.298-109.938-22.508174.749-78.42659.013210.08393.05211.65390.5-22.4-27.867.842.230.136.800
Kaspositie aan het Einde van de Periode 2,2011,8041,4781,5671,393.5571,163.3431,257.9491,189.919912.059913.9631,000.2491,011.3731,217.256888.611744.329876.272772.923663.625773.563796.071621.322699.748640.735430.652337.602113.623.145.573.34431.437.30.50.4