Jones Lang LaSalle Incorporated

NYSE:JLL

227.77 (USD) • At close May 8, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 416.3410519.3593.7574.3451.9480.9268258.5216.583250.413152.726152.159184.454251.89769.26345.89378.5850.61228.65830.14363.10513.65410.44618.84323.30816.94130.667.207
Kortetermijnbeleggingen 0000000000.0130000000000000000000
Liquide middelen en kortetermijnbeleggingen 416.3410519.3593.7574.3451.9480.9268258.5216.6250.413152.726152.159184.454251.89769.26345.89378.5850.61228.65830.14363.10513.65410.44618.84323.30816.94130.667.207
Nettovorderingen 6,470.85,905.15,446.95,266.65,327.64,955.64,287.73,870.22,798.12,259.41,639.7241,332.0331,242.891,005.087797.86743.977808.44887.56660.2430.318343.219265.141239.367235.99256.118296.657137.39289.9690.288
Voorraad 00-3,355.3000000-135.193-264.689-34.52600000000000000000
Overige vlottende activa 651.3567.43,958.8500.7517.1377.9321.7389.1243.1310492.728239.469120.48111.343145.084126.678145.435104.83696.63372.12262.89544.69453.28440.07746.128.71712.1117.1591.228
Totaal vlottende activa 7,478.56,8576,569.76,387.76,453.75,868.65,2064,5413,299.72,650.8072,118.1761,689.7021,515.5291,300.8841,194.841939.918999.7681,070.976807.445531.098436.257372.94306.305286.513321.061348.682166.444127.77998.723
Niet-vlottende activa:
Materiële vaste activa, netto 1,341.21,344.81,359.21,463.41,371.31,506.3567.9543.9501423.3368.361295.547269.338241.423198.685213.708224.845193.696120.8182.18675.53171.62181.65292.50390.30676.4728.77316.09814.549
Goodwill 4,611.34,587.44,5284,611.64,224.74,168.22,697.82,709.32,579.32,141.4711,907.9241,900.081,853.7611,751.2071,444.7081,441.9511,448.663694.004520.478335.731343.314334.154315.477000000
Immateriële activa 724.1785858.5887679.8682.6336.9305295227.18538.84145.57945.93252.5929.02536.79159.31941.6737.5834.3918.3513.45418.344328.169350.129367.215229.43750.36623.735
Goodwill en immateriële activa 5,335.45,372.45,386.55,498.64,904.54,850.83,034.73,014.32,874.32,368.71,946.7651,945.6591,899.6931,803.7971,473.7331,478.7421,507.982735.674558.061340.122351.664347.608333.821328.169350.129367.215229.43750.36623.735
Langetermijnbeleggingen 812.7816.6873.8745.7430.8404.2356.9376.2355.4311.487297.142287.2268.107224.854174.578167.31179.875151.8131.78988.7173.5771.33574.99456.89987.44967.30552.97618.0813.687
Belastingvorderingen 518.2497.4379.6330.8296.5245.4210.1229.1180.987.21390.897104.654197.892186.605149.02139.40658.63958.58437.46559.26243.20243.25218.83925.7712.3175.2710.956.6075.052
Overige niet-vlottende activa 1,277.81,176.61,024.91,078.8859.7797.3649.9496.1418.1432.813253.995239.988200.94175.073159.004157.849105.91681.14474.37843.39132.15336.18436.90545.87352.78359.8582.3410.9570.868
Totaal niet-vlottende activa 9,285.39,207.89,0249,117.37,862.87,8044,819.54,659.64,329.73,536.32,957.162,873.0482,835.972,631.7522,155.022,157.0152,077.2571,220.898922.503613.671576.12570546.211549.214592.984576.118324.47792.10857.891
Totaal activa 16,763.816,064.815,593.715,50514,316.513,672.610,025.59,254.47,629.46,187.15,075.3364,597.3534,351.4993,932.6363,349.8613,096.9333,077.0252,291.8741,729.9481,144.7691,012.377942.94852.516835.727914.045924.8490.921219.887156.614
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,322.71,406.71,236.81,262.81,229.81,289.41,261.4993.11,939.51,877.3630.037528.5051,299.420000000000000000
Kortlopende schulden 1,194.1972.5775.91,372.11,726.1789.4350.6386.6669.6336.917102.93524.522176.4965.09128.723.39924.57-30.97817.73818.01118.3263.59215.86315.4978.836162.6430015.564
Belastingschulden 0000000000000000000086.11500000000
Uitgestelde opbrengsten 203.8226.4216.5208.2192.9158.8190.4155.4129.8114.77104.565104.4176.15258.97445.14638.57529.21329.75631.89620.82316.1064.5670000000
Overige kortlopende verplichtingen 4,423.93,840.53,682.93,643.42,9793,252.62,959.42,778.6227.4-38.9742,265.9651,858.726-1,189.5111,224.5521,222.4661,033.121934.1021,019.791780.812483.801306.516277.253253.333272.138298.87257.476117.82372.04460.244
Totaal kortlopende verplichtingen 7,144.56,446.15,912.16,486.56,127.85,490.24,761.84,313.72,966.32,505.22,047.0111,658.4241,661.9711,348.6171,296.3121,095.095987.8851,063.932830.446522.635427.063285.412269.196287.635307.706420.119117.82372.04475.808
Langlopende verplichtingen:
Langetermijnschulden 845.32,144.42,362.41,248.21,377.21,928.5655.6675.31,178.1511.9275430444463197.5175.174483.94229.3533.1626.69740.585207.816199.145206.622241.111159.743202.923055.551
Uitgestelde opbrengsten niet-vlottend 0000000000000295.549134.889287.259371.636129.561-0.7620000000000
Uitgestelde belastingverplichtingen niet-vlottend 45.644.8194179.712010632.723.921.5017.08218.0293.1067.64615.453.214.4296.5770.6483.0790006.5679.5477.535000
Overige niet-vlottende verplichtingen 1,833.31,019.6975.71,169.41,073.7934.6840.9859.5642440.6313.674279.424283.166123.444133.775153.581157.328-1.714115.31456.35536.74918.72117.21719.73322.77612.8780.6030.9461.008
Totaal niet-vlottende verplichtingen 2,724.23,208.83,532.12,597.32,570.92,969.11,529.21,558.71,841.6952.5605.756727.453730.272889.639481.614619.2241,017.335163.774149.12286.13177.334226.537216.362232.922273.434180.156203.5260.94656.559
Totaal passiva 9,868.79,654.99,444.29,083.88,698.78,459.36,2915,872.44,807.93,457.72,652.7672,406.5442,392.2432,238.2561,777.9261,714.3192,005.221,273.069979.568608.766504.397511.949485.558520.557581.14600.275321.34972.99132.367
Eigen vermogen:
Preferente aandelen 0000000006.1870000000000000000000
Gewone aandelen 0.50.50.50.50.50.50.50.50.50.50.4480.4440.4410.4350.4270.4180.3460.3170.3660.3520.3320.3180.3090.3020.3070.3030.1630.1620
Ingehouden winsten 6,334.95,795.65,590.44,937.63,975.93,588.33,095.72,6492,3332,044.21,631.1451,266.9671,017.128827.297676.397531.456543.318484.84255.914100.1424.896-59.346-95.411-122.521-107.11-50.0544.79224.3270
Overige gereserveerde algehele resultaten -646.9-591.5-648.2-395.4-377.2-427.8-456.2-280.6-551.1-342.5-200.239-25.2028.946-41.57115.324-1.976-72.2285.35516.8-36.89220.3825.536-9.783-19.63-17.4121.0971.0740.631.099
Overige totale aandeelhoudersvermogen 1,0831,089.21,078.21,642.21,921.61,957.11,051.5971.21,007.3986.6955.443937.46924.668904.968876.783849.031596.238440.021477.3472.401482.37484.483471.843456.23456.553372.586123.543121.77823.148
Totaal eigen vermogen van aandeelhouders 6,771.56,293.86,020.96,184.95,520.85,118.13,691.53,340.12,789.72,688.82,386.7972,179.6691,951.1831,691.1291,568.9311,378.9291,067.6821,010.533750.38536.003507.98430.991366.958314.381332.338323.936169.572146.89724.247
Totaal eigen vermogen 6,895.16,409.96,149.56,421.25,617.85,213.33,734.53,3822,821.52,729.42,422.5692,190.8091,959.2561,694.381,571.9351,382.6141,071.8051,018.805750.38536.003507.98430.991366.958315.17332.905324.525169.572146.89724.247
Totaal passiva en aandeelhoudersvermogen 16,763.816,064.815,593.715,50514,316.513,672.610,025.59,254.47,629.46,187.15,075.3364,597.3534,351.4993,932.6363,349.8613,096.9333,077.0252,291.8741,729.9481,144.7691,012.377942.94852.516835.727914.045924.8490.921219.887156.614