Lennar Corporation

NYSE:LEN

172.63 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,315.0064,639.3422,754.7232,746.8671,211.8831,369.9732,533.4621,205.5651,051.6681,191.804897.4391,252.1771,163.6041,394.1351,457.4381,091.468795.194778.319909.5571,322.4721,201.276731.163824.013287.627118.261.652.926.530.217.910.64.93.21.500000
Kortetermijnbeleggingen 2,002.1541,733.7250000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 8,317.166,373.0672,754.7232,746.8671,211.8831,369.9732,533.4621,205.5651,051.6681,191.804897.4391,252.1771,163.6041,394.1351,457.4381,091.468795.194778.319909.5571,322.4721,201.276731.163824.013287.627118.261.652.926.530.217.910.64.93.21.500000
Nettovorderingen 730.06602.375340.878217.391202.8186.874126.743330.635229.981195.271141.78633.65274.523218.874580.448349.98488.217792.047299.232153.28560.39248.43224.34542.2711.223.834.662.370.248.253.127.125.239.800000
Voorraad 18,897.6720,099.90519,169.39717,175.14818,091.61417,346.59811,069.5089,318.6398,862.0867,862.7746,699.8085,071.7134,360.5354,169.6084,087.9894,500.094,500.4037,831.4837,863.5315,142.073,656.1013,237.5772,416.5412,301.5841,274.61,198.6807699.8504.4476444.5317.9261.2274.600000
Overige vlottende activa 3,364.3493,010.2772,837.8632,469.2822,695.9912,381.4731,783.8031,850.9721,983.2531,579.1921,241.0551,605.468219.386101.30934.8718.82835.42924.79622.681000553.9970-0.1-26.80000000000000
Totaal vlottende activa 31,309.23930,085.62425,102.86122,608.68822,202.28821,284.91815,513.51612,705.81112,126.98810,829.0418,980.0887,963.0086,042.9575,913.3316,160.7465,950.3665,819.2439,426.6459,095.0016,617.8274,917.7694,017.1723,818.8962,631.4811,403.91,257.2894.5788.6604.8542.1508.2349.9289.6315.900000
Niet-vlottende activa:
Materiële vaste activa, netto 404.789355.095339.906411.518279.527319.861215.068173.614115.557158.904181.423313.609319.245195.065152.032023.91842.8770000018.5855.914.68.6221.3189.3193.6156.2105.5100.479.900000
Goodwill 3,442.3593,442.3593,442.3593,442.3593,442.3593,442.359136.5660000034.04634.04634.046061.222257.843000000000000000000000
Immateriële activa 000000000000000000195.1560000020.100000000000000
Goodwill en immateriële activa 3,442.3593,442.3593,442.3593,442.3593,442.3593,442.359136.5660000034.04634.04634.046061.222257.843195.1560000020.100000000000000
Langetermijnbeleggingen 2,355.2012,564.3213,020.6362,187.1892,076.2361,835.4081,753.391,447.2831,242.921955.981973.893708.103743.594735.644636.783000000000000000000000000
Belastingvorderingen 000000000000713.3541,219.31400741.5980000000000000000000000
Overige niet-vlottende activa 1,722.7151,536.8961,302.0161,285.4231,359.1011,683.6351,126.4941,035.073934.043979.2251,137.843-1,021.7121,301.475690.451331.1841,474.5322,456.7662,680.9013,251.06801,857.6631,738.461895.531,127.848627.7646440.2756.1648.3557.5531.1524.9472.3439.400000
Totaal niet-vlottende activa 7,925.0647,898.6718,104.9177,326.4897,157.2237,281.2633,231.5182,655.972,292.5212,094.112,293.1591,021.7123,111.7142,874.521,154.0451,474.5323,283.5042,981.6213,446.2242,547.4531,857.6631,738.461895.531,146.433653.7660.6448.8977.4837.6751.1687.3630.4572.7519.3868.2509.8537.9332334
Totaal activa 39,234.30337,984.29533,207.77829,935.17729,359.51128,566.18118,745.03415,361.78114,419.50912,923.15111,273.24710,362.2069,154.6718,787.8517,314.7917,424.8989,102.74712,408.26612,541.2259,165.286,775.4325,755.6334,714.4263,777.9142,057.61,917.81,343.31,7661,442.41,293.21,195.5980.3862.3835.2868.2509.8537.9332334
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,631.4011,616.1281,321.2471,037.3381,069.1791,325.398751.695591.737538.852460.793288.883220.69201.101168.006169.596246.727376.134751.496876.831,830.0471,040.961969.779755.726778.238333.5322.3198.4186.7114.8102.679.76155.654.100000
Kortlopende schulden 487.15616.74901.90651.3030000.9781.37600762.463271.678217.557280.97600000000000000000000000
Belastingschulden 000000000000000000000000000000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000000000
Overige kortlopende verplichtingen 2,481.403418.017377.021341.765294.138389.809222.319192.8031,054.153193.569551.246620.882326.2384.233518.359000000000033.422.626.126.725.525189.78.800000
Totaal kortlopende verplichtingen 4,599.962,050.8941,698.2681,381.0091,414.621,715.207974.014784.541,593.983655.738840.129841.5721,289.764823.917905.512527.703376.134751.496876.831,830.0471,040.961969.779755.726778.238333.5355.7221212.8141.5128.1104.77965.362.900000
Langlopende verplichtingen:
Langetermijnschulden 2,453.4434,047.2944,652.3385,955.7587,776.6388,558.3567,035.0845,198.3125,796.8585,278.3434,650.1734,579.5313,775.9713,880.4562,761.3522,263.9592,836.8733,762.7342,592.7722,021.0141,552.2171,585.3091,505.2551,254.65776.7565.5574.8509.7336.6381.9242.2177.7129.9133.9435.9132.8174.11556.5
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000000042.650.859.661.967.272.200000
Overige niet-vlottende verplichtingen 5,478.9347,645.745,860.894,499.0094,134.4233,609.6612,749.8042,167.3621,078.5961,737.7681,155.475-4,579.531785.411889.0951,059.9131,844.4832,039.0932,137.2713,741.9691,261.247918.48971.388794.183516.44665.9280.9108.5348313.9198.3321.6342.4308.7296.5173.2145.1158.5166.3135.4
Totaal niet-vlottende verplichtingen 7,932.37711,693.03410,513.22810,454.76711,911.06112,168.0179,784.8887,365.6746,875.4547,016.1115,805.6484,579.5314,561.3824,769.5513,821.2654,108.4424,875.9665,900.0056,334.7413,282.2612,470.6972,556.6972,299.4381,771.096842.6846.4683.3857.7693.1631623.4582505.8502.6609.1277.9332.6181.3191.9
Totaal passiva 12,532.33713,743.92812,211.49611,835.77613,325.68113,883.22410,758.9028,150.2148,469.4377,671.8496,645.7776,360.9985,851.1465,593.4684,726.7774,636.1455,252.16,651.5017,211.5715,112.3083,511.6583,526.4763,055.1642,549.3341,176.11,202.1904.31,070.5834.6759.1728.1661571.1565.5609.1277.9332.6181.3191.9
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 29.50829.26833.99433.83833.65633.44324.31223.70721.36420.72221.78120.53820.20819.99819.81117.34617.22716.97616.30315.63215.7847.4767.3867.2585.800000000000000
Ingehouden winsten 22,369.36818,861.41714,685.32910,564.9948,295.0016,487.654,840.9784,306.2563,429.7362,660.0342,053.8931,605.131956.401894.108828.4241,273.1592,496.9334,539.1374,046.5632,780.6371,914.9631,538.945996.998582.299356.1186.244.9512.3427.9360.9295.1245.2218.3199.5188.1162.2136.9115.9105.2
Overige gereserveerde algehele resultaten 4.8792.408-1.341-0.8050.498-0.3661.034-0.3090.0390.13-00-76.795-57.86-52.9540-2.061-2.041-44.653-17.139-25.277-31.774-30.119-14.535-14-11.3-6.3-41.500000000000
Overige totale aandeelhoudersvermogen 4,176.9095,207.4076,098.4437,396.8297,620.3628,060.8083,005.9932,696.3882,197.8052,146.1342,093.2271,789.0951,796.6541,752.7031,648.1981,332.5021,310.021,147.31,233.1981,273.8421,358.304714.51684.997653.558533.6540.8400.4224.7179.9173.2172.374.172.970.27169.768.434.836.9
Totaal eigen vermogen van aandeelhouders 26,580.66424,100.520,816.42517,994.85615,949.51714,581.5357,872.3177,026.0425,648.9444,827.024,168.9013,414.7642,696.4682,608.9492,443.4792,623.0073,822.1195,701.3725,251.4114,052.9723,263.7742,229.1571,659.2621,228.58881.5715.7439695.5607.8534.1467.4319.3291.2269.7259.1231.9205.3150.7142.1
Totaal eigen vermogen 26,701.96624,240.36720,996.28218,099.40116,033.8314,682.9577,986.1327,211.5675,950.0725,251.3024,627.474,001.2083,303.5253,194.3832,588.0142,788.7533,850.6475,756.7655,329.6544,052.9723,263.7742,229.1571,659.2621,228.58881.5715.7439695.5607.8534.1467.4319.3291.2269.7259.1231.9205.3150.7142.1
Totaal passiva en aandeelhoudersvermogen 39,234.30337,984.29533,207.77829,935.17729,359.51128,566.18118,745.03415,361.78114,419.50912,958.26711,273.24710,362.2069,154.6718,787.8517,314.7917,424.8989,102.74712,408.26612,541.2259,165.286,775.4325,755.6334,714.4263,777.9142,057.61,917.81,343.31,7661,442.41,293.21,195.5980.3862.3835.2868.2509.8537.9332334