Macy's, Inc.

NYSE:M

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,0348621,7121,6796851,1621,4551,2971,1092,2462,2731,8362,8271,4641,6861,3065831,211248868925716636322218307142148.8172.5206.5222.4567
Kortetermijnbeleggingen 00000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 1,0348621,7121,6796851,1621,4551,2971,1092,2462,2731,8362,8271,4641,6861,3065831,211248868925716636322218307142148.8172.5206.5222.4567
Nettovorderingen 2933002972764094003635225584244383713683923584394635172,5223,4183,2132,9452,3792,4354,3132,2092,6402,834.32,842.12,265.71,758.91,543.8
Voorraad 4,3614,2674,3833,7745,1885,2635,1785,3995,5065,5165,5575,3085,1174,7584,6154,7695,0605,3175,4593,1203,2153,3593,5003,8123,8193,3763,3543,2463,271.32,380.41,180.81,148.9
Overige vlottende activa 4014243664555286206504084794934207224652854464522183771,916104991348891,4401728058198.274.5337.8135.5130.4
Totaal vlottende activa 6,0895,8536,7586,1846,8107,4457,4447,6267,6528,6798,6887,8768,7776,8996,8826,7406,3247,42210,1457,5107,4527,1547,2808,7008,5225,9726,1946,427.36,360.45,190.43,297.63,390.1
Niet-vlottende activa:
Materiële vaste activa, netto 7,6138,5968,4738,8189,3016,6376,6727,0177,6167,8007,9308,1968,4208,8139,50710,44210,99111,47312,0346,0186,1746,3796,5066,8306,8286,5726,5206,524.86,305.25,349.92,576.92,478.3
Goodwill 8288288288283,9083,9083,8973,8973,8973,7433,7433,7433,7433,7433,7433,7439,1339,2049,5200.260.2620.2620000000000
Immateriële activa 4304324354374394784884985144965275615986376787198318831,0806386406406838961,735631690717.4744.71,006.500
Goodwill en immateriële activa 1,2581,2601,2631,2654,3474,3864,3854,3954,4114,2394,2704,3044,3414,3804,4214,4629,96410,08710,6006386406406838961,735631690717.4744.71,006.500
Langetermijnbeleggingen 00-983-908-1,169-1,238-1,122-1,443-1,477-362-400-407-408-364-206-222-223-52-0.103-1.199-0.998-0.01-1,345-1,393-1,444-1,0600-831-733000
Belastingvorderingen 7459479839081,1691,2381,1221,4431,477362400407408364206222223520.1031.1990.9980.011,3451,3931,4441,0600831733000
Overige niet-vlottende activa 5412101,0961,439714726880813897743735615557539490501510568389719284268575586607289334594.6884.8832.91,544.91,151.4
Totaal niet-vlottende activa 10,15711,01310,83211,52214,36211,74911,93712,22512,92412,78212,93513,11513,31813,73214,41815,40521,46522,12823,0237,3757,0987,2877,7648,3129,1707,4927,5447,836.87,934.77,189.34,121.83,629.7
Totaal activa 16,24616,86617,59017,70621,17219,19419,38119,85120,57621,46121,62320,99122,09520,63121,30022,14527,78929,55033,16814,88514,55014,44115,04417,01217,69213,46413,73814,264.114,295.112,379.77,419.47,019.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,5232,8743,2802,8562,6592,6382,3252,1772,3402,4272,4372,2042,2621,9801,7961,8932,6584,6043,0791,6532,6132,5842,6452,6423,0432,4462,4162,492.22,358.52,183.71,209.71,103.3
Kortlopende schulden 35833543865293823044492648834732841,2836372427444436501,2201,2429089461,0121,7221,2845245561,094.6733.146310.112.9
Belastingschulden 83581082658116829635222729636235537118268283446650.4540.3520.3620.0710.057000000000
Uitgestelde opbrengsten 3843994816168398801,0321,3109209078408017251,5875522222235210300021000000000
Overige kortlopende verplichtingen 1,0821,0921,1149681,2331,3171,5431,3161,4891,8231,6141,4311,6222,2662,3482,0171,4694403,084.5461,405.648361.63870.92935.94350522598888.96.565.3110.346.5
Totaal kortlopende verplichtingen 4,4304,8615,4165,3575,7505,2325,0755,6475,7285,5365,7265,0756,2325,0654,4545,1265,3606,3597,5904,3013,8833,6013,7144,8694,5523,0683,0603,595.73,098.12,7121,330.11,162.7
Langlopende verplichtingen:
Langetermijnschulden 5,9845,9596,3937,5926,5394,7085,8616,5626,9957,2656,7146,8066,6556,9588,4568,7339,0877,8478,8602,6373,1513,4083,8594,3744,5893,0573,9194,605.95,632.24,529.22,786.72,809.8
Uitgestelde opbrengsten niet-vlottend 00000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 7459479839081,1691,2381,1221,4431,4771,0811,2691,2381,1721,2451,0681,1191,4461,7281,7041,1999989981,3451,3931,4441,060939830.9732.9993.5804.2750.8
Overige niet-vlottende verplichtingen 9501,9641,1771,2961,3371,5802,7841,8772,1232,2011,6681,8212,1031,8332,6212,5211,9891,3621,495581578672562554555570564562.4558.2505.4220.2221.5
Totaal niet-vlottende verplichtingen 7,6797,9238,5539,7969,0457,5268,6459,88210,59510,5479,6559,8659,93010,03612,14512,37312,52210,93712,0594,4174,7275,0785,7666,3216,5884,6875,4225,999.26,923.36,028.13,811.13,782.1
Totaal passiva 12,10912,78413,96915,15314,79512,75813,72015,52916,32316,08315,38114,94016,16215,10116,59917,49917,88217,29619,6498,7188,6108,6799,48011,19011,1407,7558,4829,594.910,021.48,740.15,141.24,944.8
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 33333333344455555632233332022000
Ingehouden winsten 6,1906,2685,2683,9287,9898,0507,1746,0886,3347,3406,2355,1084,0152,9902,2742,0087,0326,3755,6544,4053,8093,1852,3672,6432,8272,0321,370834.3568.4493.8113113
Overige gereserveerde algehele resultaten -496-618-622-788-995-951-724-896-1,043-1,072-665-931-1,061-730-753-486-182-182-288-42-274-280-23-8-7-22-1,746-2-6-591.6-370.3-189.5
Overige totale aandeelhoudersvermogen -1,560-1,571-1,028-590-620-666-780-872-1,044-8946751,8702,9743,2655,4493,1193,0526,0558,1501,8026,2126,0395,5843,1843,7293,6975,6323,834.93,709.33,737.42,535.52,151.5
Totaal eigen vermogen van aandeelhouders 4,1374,0823,6212,5536,3776,4365,6734,3234,2505,3786,2426,0515,9335,5304,7014,6469,90712,25413,5196,1675,9405,7625,5645,8226,5525,7095,2564,669.24,273.73,639.62,278.22,075
Totaal eigen vermogen 4,1374,0823,6212,5536,3776,4365,6614,3224,2535,3786,2426,0515,9335,5304,7014,6469,90712,25413,5196,1675,9405,7625,5645,8226,5525,7095,2564,669.24,273.73,639.62,278.22,075
Totaal passiva en aandeelhoudersvermogen 16,24616,86617,59017,70621,17219,19419,38119,85120,57621,46121,62320,99122,09520,63121,30022,14527,78929,55033,16814,88514,55014,44115,04417,01217,69213,46413,73814,264.114,295.112,379.77,419.47,019.8