Jones Lang LaSalle Incorporated

NYSE:JLL

228.16 (USD) • At close May 7, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 546.8225.4793.4959.3422.7537.9491.7279.5334.4446.341385.749269.456208.843165.612154.439-3.15883.515257.832176.401103.67264.24236.06527.11-15.411-57.06-94.84220.465019.964
Afschrijvingen & Amortisatie 255.8238.4228.1217.5226.4202.4186.1167.2141.8108.194.33779.85378.8182.83271.573129.24490.58455.5893.5265.42933.38136.94449.05647.4243.12636.67613.4559.0935.416
Uitgestelde Inkomstenbelasting 00-40.5-238.9-16.10-25.2003,407000000000000-19.87846.38371.87593.4380-6.8420
Aandelen Gebaseerde Vergoedingen -0.178.385.896.483.874.226.825.230.1020.4000045.909057.93200000.1390.03685.795101.143000
Verandering in Werkkapitaal -265-234.4-770.4-52.3419.9-342.5-119.7315.8-302.7-445.60-111.5620-99.47668.1166.504-171.39770.17696.369-49.82641.4410.018-15.033-19.56839.415-74.339-15.0099.066-12.753
Vorderingen 011.1-319.1-402414.3-330-229.5-187.9-335-400,7620000067.43444.76000000000000
Voorraden 000413.60394.7-229.2-87-68.2147,565.390000000000000000000
Crediteuren 36.278.5-115.2-11.6177.1-64.7372.4636100.5253,004000000-198.99000000000000
Overig Werkkapitaal -301.2-324-336.1-52.3-171.5-342.5-33.4-45.30-252.994.854-111.562-7.72-99.47668.116-60.93-17.16770.17696.369-49.82641.4410.018-15.033-19.56839.415-74.339-15.0099.066-12.753
Overige Niet-Contante Posten 247.8268.1-96.5-9.6-2211.844.41.510.9-3,140.041-1.58655.4238.24662.3790.14272.05530.663-32.10211.4131.36122.41527.01826.975-4.757-42.811-80.3030.32729.261.337
Kasstroom uit Operationele Activiteiten 785.3575.8199.9972.41,114.7483.8604.1789.2214.5375.8498.9293.167325.899211.338384.27250.55433.365409.418377.703120.636161.478110.04568.36954.103140.34-18.22719.23840.57713.964
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -185.5-186.9-205.8-175.9-149.4-187.8-161.9-151.4-216.2-147.8-156.927-110.684-94.758-91.538-47.609-44.249-148.548-113.743-70.307-39.785-28.16-18.597-16.79-35.792-45.804-36.848-15.592-6.277-10.79
Netto Overnames -57.2-13.6-5.7-416.8-80.3-801.3-97.7-18.7-580.32,943-36.989-81.157-134.028-322.814-58.103-26.668-348.825-134.259-191.706-4.885-2.81-1.1-0.287-5.413-13.333-56.225-51.347-15.538-24.97
Aankoop van Beleggingen -88.6-109.4-167.3-2520-79.20-2.30000000-39.7990-45.517-62.122-29.777-35.148-7.32-30.01-16.367-15.2140000
Verkoop/verval van Beleggingen 00134.80100000000014.8360.7842.50935.01717.77513.41338.55311.73520.74725.0237.76125.9310.4937.6893.282
Overige Investeringsactiviteiten 14.519.50.938.958.118.6-20.81.6-5.5-3,379.8156.01627.62977.53425.036000000000000-182.6500
Kasstroom uit Investeringsactiviteiten -316.8-290.4-243.1-805.8-170.6-1,049.7-280.4-170.8-802-584.615-187.9-164.212-151.252-389.316-90.876-109.932-494.864-258.502-306.36-61.034-27.565-15.282-26.34-32.549-66.59-67.143-239.096-14.126-32.478
Financieringsactiviteiten:
Schuldaflossingen -322.1-224.8820.1241.8-589.3611.8-41.4-529.3689283.8-163.8-21.709-41.18301.8927.802-311.284464.921-3.7953.703-14.518-147.89-39.41-34.238-21.088-79.389102.525202.377-71.11529.002
Uitgifte van Gewone Aandelen 000003.72.93.62.800001.211.406220.6939.9539.52223.59647.08531.2775.5734.1282.1971.992.936000
Terugkoop van Gewone Aandelen -112.5-92.2-688.4-395.8-123.5-13.6-12.4-6.6-7-10.1-16-14.277-11.656-30.234-19.448-7.212-14.026-125.443-82.04-85.228-50.262-11.475-8.711-11.0600000
Uitgekeerde Dividenden 00000-42.7-37.8-33.1-29.4-25.6-21.9-20.026-18.219-13.484-8.961-8.267-26.405-28.906-20.629-8.4260000000-14.835-11.813
Overige Financieringsactiviteiten -16.6-57.3-144.810.2-58.429.1-49.7-54.5-16.2-56.5-1.3-72.376-137.686-147.637-110.153-11.182-5.63125.67425.981005.57300-0.8161.256082.8220
Kasstroom uit Financieringsactiviteiten -451.2-374.3-13.1-143.8-771.2584.6-141.3-623.5636.4191.6-203-128.388-208.741110.535-110.76-117.252428.812-122.948-49.389-61.087-166.875-45.312-38.821-29.951-78.215106.717202.377-3.12817.189
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -286.3-39.3-2114.8-0.8-19.913.3-7-16.5510-2.0681.799000000000000-0.4410.0310.130.21
Netto Kasstroomverandering -10.7-82.6-95.61.8187.717.9162.517.746.5-33.8397.6740152.159-67.443182.63423.37-32.68727.96821.954-1.485-32.96249.4513.208-8.397-4.4656.367-13.71923.453-1.115
Kaspositie aan het Einde van de Periode 652.7663.4746841.6839.8652.1634.2471.7258.5216.6250.4152.726152.159184.454251.89769.26345.89378.5850.61228.65830.14363.10513.65410.44618.84323.30816.94130.667.207