Leggett & Platt, Incorporated

NYSE:LEG

11.8 (USD) • At close November 14, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 365.5316.5361.7348.9247.6268.1526.1281.9253.2332.8272.7359.1236.3244.5260.5164.7205.4131.964.9491.3443.9225187.237.320.683.57.73.76.72.70.445.33.32.9729.635.99
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 365.5316.5361.7348.9247.6268.1526.1281.9253.2332.8272.7359.1236.3244.5260.5164.7205.4131.964.9491.3443.9225187.237.320.683.57.73.76.72.70.445.33.32.9729.635.99
Nettovorderingen 637.3675651.5563.6591.9571.6595.1486.6520.2523.3467.4446.2503.6478.9469.5550.5640.2853.8847.6790.7680.7569562.5634.2559.4503.1438.6335.3254.2254.3204.7156.8140.8146.2136.5114.879.668.252.8
Voorraad 819.7907.5993.2645.5636.7633.9571.1519.6504.6481.6495.9489441435.3409.1495599.2826.3767.1705.7628.3625.7601.3671.8605.8486.2433.2379.6276.8255.5209.1161.1157.3172144.2122.492.882.273.1
Overige vlottende activa 58.95958.954.161.95174.236.833.291.945.744.843.160.474.596.6389.682.183.777.166.568.370.96270.464.365.144.734.232.221.418.318.320.99.26.36.23.33.4
Totaal vlottende activa 1,881.41,9582,065.31,612.11,538.11,524.61,733.51,324.91,311.21,429.61,281.71,339.11,2241,219.11,213.61,306.81,834.41,894.11,763.32,064.81,819.41,4881,421.91,405.31,256.21,137.1944.6763.3571.9544.7435.6340.2321.7342.4292.8250.5208.2189.6138.3
Niet-vlottende activa:
Materiële vaste activa, netto 978.4967.4974.1946.4989.6728.5663.9565.5540.8558.9574.6572.8580.6624.2668.6681.4726.9962.8971.1960.7967.1960.7961.91,018.4915820.4693.2582.9451.8396313.1230.7234.2224.8209.3176.2127.9113.4101
Goodwill 1,489.81,474.41,449.61,388.81,406.31,126.51,117.81,082.71,107.21,129.71,232.71,321.2926.6930.3928.2875.6931.31,149.31,102.51,028.9989.58988790000000000000000
Immateriële activa 167.5786.3818.3806.7764178.7169.1164.9192.3204.7203.4206.3116.6152.3171.1197.4232.2182.91,23668.44436.843.8895.3759.5528.6425.6320.5155.8142.5153.2107.291.2102.357.120.811.59.29
Goodwill en immateriële activa 1,657.32,260.72,267.92,195.52,170.31,126.51,117.81,082.71,107.21,129.71,232.71,321.21,090.91,082.61,099.31,0731,163.51,332.21,2361,097.31,033.5934.8922.8895.3759.5528.6425.6320.5155.8142.5153.2107.291.2102.357.120.811.59.29
Langetermijnbeleggingen 72.939.747.446.342.537.538.732.127.624.218.329.1-11-69.5-49-17.2-42.3-67.1-59.4-85.6-95.2-79.400000000000000000
Belastingvorderingen 13.28.38.61111.520.221.423.933.336.546.950.21169.54917.242.367.159.485.695.279.400000000000000000
Overige niet-vlottende activa 31.3-48-56-57.364.4-55.3-57.5-45-52.5-38.3-46.1-57.519.675.179.7100.7347.776.282.274.469.7117.6106.354.246.849.242.946.238.836.70-0.196.69.130.136.737.222.2
Totaal niet-vlottende activa 2,753.13,228.13,2423,141.93,278.31,857.41,784.31,659.21,656.41,7111,826.41,915.81,691.11,781.91,847.61,855.12,238.12,371.22,289.32,132.42,070.32,013.11,9911,967.91,721.31,398.21,161.7949.6646.4575.2466.3337.8334.4333.7275.5227.1176.1159.8132.2
Totaal activa 4,634.55,186.15,307.34,7544,816.43,3823,517.82,984.12,967.63,140.63,108.13,254.92,915.13,0013,061.23,161.94,072.54,265.34,052.64,197.23,889.73,501.13,412.93,373.22,977.52,535.32,106.31,712.91,218.31,119.9901.9678656.1676.1568.3477.6384.3349.4270.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 536.2518.4613.8552.2463.4465.4430.3351.1307.2369.8339.3285.4256.6226.4199.4175.3227.6259254.2224.4195.2181.9162.4179.4146.1134.8128.7110.390.489.974.142.73956.253.80000
Kortlopende schulden 422.6108.4389.6135.7129.71.2153.83.63.4201.7181.1201.52.52.210.122.488.75298.6401.3119.4057.100003.943.91.413.23.13.54.14.85.17.4
Belastingschulden 20.929.236.331.72220.223.121.223.92221.419.3000000000000000000000000000
Uitgestelde opbrengsten 12.118.119.519.411.911.812.714.412.612.713.19.10209.5229.7234.9274.6268279.3239.500197.80000000000000000
Overige kortlopende verplichtingen 282.9312.1296286.4313328.9369330.7366.7398.7287.7224.8326.9294.4325.6326.5483.3380.2385.2333.9311.3416.1237.5297.2285.4266.6243.8178.6132.4139.190.774.968.468.755.59973.261.748.8
Totaal kortlopende verplichtingen 1,262.6968.11,335.71,006928.1815.7943.2706.6701.2992.2829.5731586523535.1524.2799.6691.2738959.6625.9598457476.6431.5401.4372.5292.8226.8232.9166.2118.6110.6128112.8103.17866.856.2
Langlopende verplichtingen:
Langetermijnschulden 1,830.12,224.72,095.71,968.72,309.71,171.51,101.9956.2945.4766.7688.4853.9833.3762.2789.3851.21,000.61,060921.6779.41,012.2808.6977.6988.4787.4574.1466.2388.5191.9204.9165.8101.5179.4212.8147.5106.883.688.351.4
Uitgestelde opbrengsten niet-vlottend 153.3-27.2-19.5-22.1-12.9-21.4-17.6-29.1-32.3-33.6-27.8-20.216.617.30000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 101.2348.8380.3386.3387.7240.9285.9227.3223.3226.8191227.8188.169.54917.242.367.159.485.695.279.464.771.968.574.952.854.547.842.243.226.427.224.420.216.213.211.19.9
Overige niet-vlottende verplichtingen 207.8351.9227.3194.8266.1237.2281.9227.3223.3226.8191227.8188.1104.6112.3116.397.395.91440137.6117.64742.543.948.140.83617.714.711.16.36.38.36.26.100.10
Totaal niet-vlottende verplichtingen 2,037.92,576.62,3232,357.72,575.81,408.71,383.81,183.51,168.7993.5879.41,081.71,021.4953.6950.6984.71,140.21,2231,065.6924.51,149.8926.21,089.31,102.8899.8697.1559.8479257.4261.8220.1134.2212.9245.5173.9129.196.899.561.3
Totaal passiva 3,300.53,544.73,658.73,363.73,503.92,224.42,3271,890.11,869.91,985.71,708.91,812.71,607.41,476.61,485.71,508.91,939.81,914.21,803.61,884.11,775.71,524.21,546.31,579.41,331.31,098.5932.3771.8484.2494.7386.3252.8323.5373.5286.7232.2174.8166.3117.5
Eigen vermogen:
Preferente aandelen 022222222222220000000000000000000000000
Gewone aandelen 222222222222222222222222200000000000000
Ingehouden winsten 2,661.13,0462,9732,762.42,734.52,613.82,511.32,410.52,209.22,061.32,136.42,109.62,027.42,033.32,013.32,062.12,122.32,270.72,093.11,961.51,788.31,687.31,552.71,4601,278.11,058.7871.3704.4598496.5401329.5283.5259.3244.5211.4180.2151.9117.4
Overige gereserveerde algehele resultaten -43.7-93.5-38.3-52.4-76.8-77.6-9.5-113.6-91.1-2.694.57165.2101.8104.811.4193.575.666.382.334.4-39-55.8-45.4-18.900000000000000
Overige totale aandeelhoudersvermogen -1,286.1-1,313.8-1,288.7-1,322.2-1,347.7-1,381.2-1,313.6-1,207.3-1,034.5-914.2-841.6-748.1-797.4-629.8-566.1-422.5-185.12.887.6349.6289.3326.6367.7377.2385378.1302.7236.7136.1128.7114.695.749.143.337.13429.331.235.6
Totaal eigen vermogen van aandeelhouders 1,333.31,641.41,648.61,390.31,312.51,157.61,190.81,0941,097.71,154.91,399.21,442.21,307.71,507.31,5541,6532,132.72,351.12,2492,313.12,1141,976.91,866.61,793.81,646.21,436.81,174941.1734.1625.2515.6425.2332.6302.6281.6245.4209.5183.1153
Totaal eigen vermogen 1,3341,642.11,649.21,390.81,3131,158.21,191.41,096.41,109.81,163.31,407.11,449.91,318.21,524.41,575.51,6532,132.72,351.12,2492,313.12,1141,976.91,866.61,793.81,646.21,436.81,174941.1734.1625.2515.6425.2332.6302.6281.6245.4209.5183.1153
Totaal passiva en aandeelhoudersvermogen 4,634.55,186.15,307.34,7544,816.43,3823,517.82,984.12,967.63,140.63,108.13,254.92,915.13,0013,061.23,161.94,072.54,265.34,052.64,197.23,889.73,501.13,412.93,373.22,977.52,535.32,106.31,712.91,218.31,119.9901.9678656.1676.1568.3477.6384.3349.4270.5