Lincoln Electric Holdings, Inc.

NASDAQ:LECO

187.83 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 393.787197.15192.958257.279199.563358.849326.701379.179304.183278.379299.825286.464361.101366.193388.136284.332217.382120.212108.00792.819170.51176.07623.49311.3198.739.146.640.510.110.4
Kortetermijnbeleggingen 000000179.12538.9220000000000050.54.9964.88100000000
Liquide middelen en kortetermijnbeleggingen 393.787197.15192.958257.279199.563358.849505.826379.179304.183278.379299.825286.464361.101366.193388.136284.332217.382120.212108.007143.319175.506180.95723.49311.3198.739.146.640.510.110.4
Nettovorderingen 580.646541.529429.074373.487374.649396.885395.279273.993264.715321.862367.134360.662386.197321.948273.7299.171344.058298.993242.093219.496167.592153.623154.094153.253170167.8163.4151.3140.8126
Voorraad 562.864665.451539.919381.258393.748361.829348.667255.406275.93330.84349.963364.89373.238291.73255.743346.932343.849351.144275.745236.275173.709164.674164.503184.173191.6186.3178.6170.7182.9155.3
Overige vlottende activa 155.814892.339749.674731.085681.833875.971,024.941788.307660.065767.837780.812767.926858.169716.31982.18894.29154.07353.52741.7234.71624.81119.43630.24867.33756.343.644.920.723.321.7
Totaal vlottende activa 1,693.1111,557.791,289.5931,112.3431,075.5811,237.7991,373.6081,043.713935.9951,098.6771,130.7751,132.8161,219.271,082.5121,023.5461,024.726969.648829.41676.634637.6555.407524.045384.334416.082426.6436.8433.5383.2357.1313.4
Niet-vlottende activa:
Materiële vaste activa, netto 628.6544.871511.744522.092529.344478.801477.031372.377411.323437.209484.005486.236470.451478.566460.061427.902429.944389.518340.533316.116282.335271.853270.971269.013270.8259.8202201.2205.6184.2
Goodwill 694.452665.257430.162335.593337.107281.294234.582231.919187.504179.517174.715132.90365.10145.95239.55436.18742.72735.208000000000000
Immateriële activa 186.667202.706149.393134.451177.798147.946127.452130.088120.719132.361147.012132.90294.47181.25881.77465.26251.19441.50464.82828.47216.9416.84940.41641.17333.335.734.837.439.239.2
Goodwill en immateriële activa 881.119867.963579.555470.044514.905429.24362.034362.007308.223311.878321.727265.805159.572127.21121.328101.44993.92176.71264.82828.47216.9416.84940.41641.17333.335.734.837.439.239.2
Langetermijnbeleggingen 21.83719.291-597.8734.876-529.18-449.635-377.971-370.43159.33458.659.38155.79354.79452.71251.97692.201-36.874-27.061-17.75200000000000
Belastingvorderingen 45.17622.81118.31816.95914.27520.39515.9378.4248.6832.943.55644.63957.56822.16126.32647.39736.87427.06117.7521.0847.27917.85800000000
Overige niet-vlottende activa 107.454167.82790.97188.139766.288633.225555.908527.34760.61329.911152.423104.57415.12120.62722.05525.13151.78398.93979.16675.89266.90570.66485.5964.01144.750.641.925.415.920.1
Totaal niet-vlottende activa 1,684.1861,622.7561,302.7141,202.111,295.6321,112.0261,032.939899.724848.176840.5381,021.092957.047757.506701.276681.746694.079675.648565.169484.527421.564373.459377.224396.977374.197348.8346.1278.7264260.7243.5
Totaal activa 3,377.2973,180.5462,592.3072,314.4532,371.2132,349.8252,406.5471,943.4371,784.1711,939.2152,151.8672,089.8631,976.7761,783.7881,705.2921,718.8051,645.2961,394.5791,161.1611,059.164928.866901.269781.311790.279775.4782.9712.2647.2617.8556.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 325.435352.079330.23256.53273.002268.6269.763176.757152.62202.482212.799209.647176.312147.111100.052124.388152.301142.264121.917111.15477.30163.89467.56962.73664.560.552.558.253.954.8
Kortlopende schulden 15.54393.48352.732.73434.9690.1112.1311.8894.27868.16615.29618.676101.41813.07835.86750.6930.90547.1348.1633.4434.32714.37826.59755.14227.913.911.913.129.818.1
Belastingschulden 0000000016.59918.62646.10945.50521.96421.7622.4313.30513.1335.538.34235.78935.63734.69900000000
Uitgestelde opbrengsten 92.48518.318141.483128.854-307.97117.02319.68321.23816.11226.46824.31926.335-176.312-147.111102.756090.813106.69486.91774.15271.81151.38543.260000000
Overige kortlopende verplichtingen 321.147389.017231.462161.331563.135252.448237.165188.223197.112195.303204.365185.609369.624322.51459.296181.56167.90242.19676.64574.27959.64561.95963.359130.47124120.7120.198.284.971.2
Totaal kortlopende verplichtingen 754.61852.897755.905549.449563.135538.182528.742388.107370.122492.419456.779440.267471.042335.592297.971356.642311.921338.288293.642263.028213.084191.616200.785248.348216.4195.1184.5169.5168.6144.1
Langlopende verplichtingen:
Langetermijnschulden 1,102.7711,110.396717.089715.456712.302702.549704.136703.704350.3472.4883.7911.5991.9684.62787.8591.537117.329113.965157.853163.931169.03174.14624.18138.5547.246.854.464.193.6194.8
Uitgestelde opbrengsten niet-vlottend -211.06456.718000-748.534-744.852-745.321-397.009-43.249-51.894-9.948-17.606-19.766193.058-8.55300000000000000
Uitgestelde belastingverplichtingen niet-vlottend 13.14617.02256.71846.74264.28645.98540.71641.61746.66240.76148.1038.34917.60619.76616.6798.55336.87427.06117.75218.22721.8411.0731.75128.96328.823.2113.67.16.6
Overige niet-vlottende verplichtingen 408.982109.472198.686212.556212.413924.051945.352843.124481.601161.015164.4291.275310.532214.09124.059275.31491.95262.28939.6236.70146.403105.28425.89627.11731.526.925.118.213.110.5
Totaal niet-vlottende verplichtingen 1,313.8351,293.608972.493974.754989.001924.051945.352843.124481.601161.015164.4291.275312.492298.718321.646366.851246.155203.315215.225218.859237.274280.581.82894.63107.596.990.585.9113.8211.9
Totaal passiva 2,068.4452,146.5051,728.3981,524.2031,552.1361,462.2331,474.0941,231.231851.723653.434621.179731.542783.534634.31619.617723.493558.076541.603508.867481.887450.358472.116282.613342.978323.9292275255.4282.4356
Eigen vermogen:
Preferente aandelen 000000.650.8160.7290.8613.2324.08615.9486.43811.0520000000000000000
Gewone aandelen 9.8589.8589.8589.8589.8589.8589.8589.8589.8589.8589.8589.8589.8584.9294.9294.9294.9294.9294.9284.9284.9284.9284.9284.9284.900000
Ingehouden winsten 3,688.0383,306.52,970.3032,821.3592,736.4812,564.442,388.2192,236.0712,125.8382,086.1741,908.4621,682.6681,484.3931,320.5521,239.0041,236.811,068.1906.074764.748673.01623.898597.495594.701537.271483.5432.3359.6290.3228.6177
Overige gereserveerde algehele resultaten -229.847-275.299-257.386-302.19-275.85-293.739-247.186-329.037-296.267-288.622-151.941-235.4-247.881-141.948-149.404-218.15815.841-54.653-91.276-58.678-77.277-132.35-66.726-59.988-43.5-291.5-269.9-260.8-285-260.3
Overige totale aandeelhoudersvermogen -2,159.197-2,007.018-1,858.866-1,738.777-1,651.412-1,393.617-1,219.254-1,205.415-907.842-524.861-239.777-114.753-59.566-45.107-22.183-28.269-1.65-3.374-26.106-41.983-73.041-40.92-34.205-34.916.6350.1347.5362.3386.3277.4
Totaal eigen vermogen van aandeelhouders 1,308.8521,034.041863.909790.25819.077887.592932.453712.206932.4481,285.7811,530.6881,358.3211,193.2421,149.4781,072.346995.3121,087.22852.976652.294577.277478.508429.153498.698447.301451.5490.9437.2391.8329.9194.1
Totaal eigen vermogen 1,308.8521,033.942863.716791.229819.982888.242933.269712.935933.3091,289.0131,534.7741,374.2691,209.5381,165.4591,085.675995.3121,087.22852.976652.294577.277478.508429.153498.698447.301451.5490.9437.2391.8335.4200.9
Totaal passiva en aandeelhoudersvermogen 3,377.2973,180.5462,592.3072,314.4532,371.2132,349.8252,406.5471,943.4371,784.1711,939.2152,151.8672,089.8631,976.7761,783.7881,705.2921,718.8051,645.2961,394.5791,161.1611,059.164928.866901.269781.311790.279775.4782.9712.2647.2617.8556.9