ManpowerGroup Inc.

NYSE:MAN

64.37 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 581.3639847.81,567.11,025.8591.9689598.5730.5699.2737.6648.1580.5772.61,014.6874537.5687.9454.9531.8426.2284246181.7241.7180.5142.2180.6142.88263.350.644.738.1
Kortetermijnbeleggingen 0000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 581.3639847.81,567.11,025.8591.9689598.5730.5699.2737.6648.1580.5772.61,014.6874537.5687.9454.9531.8426.2284246181.7241.7180.5142.2180.6142.88263.350.644.738.1
Nettovorderingen 4,8305,137.45,448.24,912.45,273.15,276.15,370.54,413.14,2434,186.74,344.14,239.64,181.33,844.13,070.83,629.74,478.83,837.23,208.23,227.82,609.42,214.21,9182,094.41,897.61,674.71,437.41,167.51,043.7832.4516.2546.6543.7548.6
Voorraad 00000000000000000000007700000000000
Overige vlottende activa 160.8158126.7186.9185.6129.1111.7121.3119147.8161.3172.9228.7257.3247186.4198.5156.9178.6257.9201.5155.173120.6118106.4107.39190.892.971.873.757.256.6
Totaal vlottende activa 5,572.15,934.46,422.76,666.46,484.55,997.16,171.25,132.95,092.55,033.75,2435,060.64,990.54,8744,332.44,690.15,214.84,6823,841.74,017.53,237.12,653.32,3142,396.72,257.31,961.61,686.91,439.11,277.31,007.3651.3670.9645.6643.3
Niet-vlottende activa:
Materiële vaste activa, netto 543.9477.9490.2553.8591.8152.6157.7147.3147.1149.1166184.8174.5170.3176.4213.4221.2202.1196.4223.1187.1188.8194191.6182.4191.3136.4121.410888.580.187.398.1115.7
Goodwill 1,586.81,628.11,722.21,225.81,260.11,297.11,3431,239.91,257.41,075.21,090.91,041.3984.7954.1959.1972.91,045.9972.60000000000000000
Immateriële activa 519.6549.5583.6248.6268.6246.3284294.4326.5286.8309.1330.6354.9376.2398.4415.2364.83211,256.51,297573.8545.7481247.6000003.77.881.9186.5259.5
Goodwill en immateriële activa 2,106.42,177.62,305.81,474.41,528.71,543.41,6271,534.31,583.91,3621,4001,371.91,339.61,330.31,357.51,388.11,410.71,293.61,256.51,297573.8545.7481247.6000003.77.881.9186.5259.5
Langetermijnbeleggingen 102.295.8114.2106.697.8161.4158.7145.8137.9132.3140.285.30000000000000000000000
Belastingvorderingen 44.7-95.8-114.2-106.6-97.8-161.4-158.7-145.8-137.9-132.3-140.2-85.30000000000000000000000
Overige niet-vlottende activa 460.9540.5610.2651.6618.8826.7927.7759.7694637.7479.3395.3395.1355.1347.5326.6377.7336.4273.8305.5386.9313.9250205.7279228.2223.7191.8132.5104.294.182.350.661.8
Totaal niet-vlottende activa 3,258.13,1963,406.22,679.82,739.32,522.72,712.42,441.32,4252,148.82,045.31,9521,909.21,855.71,881.41,928.12,009.61,832.11,726.71,825.61,147.81,048.4925644.9461.4419.5360.1313.2240.5196.4182251.5335.2437
Totaal activa 8,830.29,130.49,828.99,346.29,223.88,519.88,883.67,574.27,517.57,182.57,288.37,012.66,899.76,729.76,213.86,618.27,224.46,514.15,568.45,843.14,384.93,701.73,2393,041.62,718.72,381.12,0471,752.31,517.81,203.7833.3922.4980.81,080.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,7232,831.43,039.22,527.42,474.92,266.72,279.41,914.41,659.21,542.71,523.91,466.51,370.61,313.9944.4903.21,014.4889.9685.4687.1555.4447382453.1388347.9271.1235.5219.8163.1109101.488.894.1
Kortlopende schulden 112.326.6552.620.46150.1469.439.844.245.236308434.228.741.7115.639.732260225.712.122.82465.9131.54.171.127.43956.341.846.575.299.9
Belastingschulden 1,128.51,209.41,304.61,303.11,153.71,238.41,340.11,097.91,052.51,088.71,183.21,158.2502.3482.2391.2479.2000000000000000000
Uitgestelde opbrengsten 31.935.634.834.944.595.946.538.70000001,575.201,404.11,2621,042.61,075.3360295.723500000000000
Overige kortlopende verplichtingen 1,932.52,028.22,153.92,101.91,8611,763.22,015.11,665.91,747.61,786.51,949.71,902.71,957.41,947.541.71,887.8797.3697.7592.5613.8950.4796.86501,003.2898.6959.1662.5548.4517.5449320310.1289.7296.4
Totaal kortlopende verplichtingen 4,799.74,921.85,780.54,684.64,441.44,175.94,810.43,658.83,4513,374.43,509.63,677.23,762.23,290.12,6032,906.63,255.52,881.62,580.52,601.91,877.91,562.31,2911,522.21,418.11,311.11,004.7811.3776.3668.4470.8458453.7490.4
Langlopende verplichtingen:
Langetermijnschulden 990.51,226.5841.51,426.81,349.11,025.3478.1785.6810.9423.9481.9462.1266669.3715.6837.3874.8791.2475676.1829.6799811491.6357.5154.6189.8100.861.8130.9130203.1210.1221.4
Uitgestelde opbrengsten niet-vlottend 0000001.52.400000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000-1.5-2.40000000000000000000000129.803940.6
Overige niet-vlottende verplichtingen 805.9524675.2781.2671.8620.1737.5683.4563.1441.2382.6372.5388.1373.1358.7390.5424.8367.1366.3391.1367.1340.5323287.4292.5246.5234.9239.5224.7200.90101.756.253.9
Totaal niet-vlottende verplichtingen 1,796.41,750.51,516.72,2082,020.91,645.41,215.61,4691,374865.1864.5834.6654.11,042.41,074.31,227.81,299.61,158.3841.31,067.21,196.71,139.51,134779650401.1424.7340.3286.5331.8259.8304.8305.3315.9
Totaal passiva 6,596.16,672.37,297.26,892.66,462.35,821.36,0265,127.84,8254,239.54,374.14,511.84,416.34,332.53,677.34,134.44,555.14,039.93,421.83,669.13,074.62,701.82,4252,301.22,068.11,712.21,429.41,151.61,062.81,000.2730.6762.8759806.3
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000000
Gewone aandelen 1.21.21.21.21.21.21.21.21.21.11.11.11.11.11111110.90.910.80.8000000000
Ingehouden winsten 3,8133,868.53,634.63,388.83,494.13,157.72,7132,291.31,9661,667.81,317.51,101.5971.7785.21,109.61,201.21,040.3617269.951-167.6-289.7-388-496.9-653-787.7-848.2-998.2-1,148.2-1,266.1-1,341.9-1,292.9-1,246.2-1,192.9
Overige gereserveerde algehele resultaten -466-458.7-389.4-397.3-441-399.8-288.2-426.1-286-155.282.234.435.387106.9-8.9257.6120.6-11109.4283-123.7-191-145.1-88.8-220.1-188.4-181.2000000
Overige totale aandeelhoudersvermogen -1,124.9-963.7-724.7-551.7-311.3-134.2348.9495.5943.51,429.31,513.41,363.81,475.31,523.91,3191,290.51,370.41,735.61,886.72,012.61,1941,412.41,3921,381.61,391.61,676.71,654.21,780.11,603.21,469.61,444.61,452.51,4681,466.9
Totaal eigen vermogen van aandeelhouders 2,223.32,447.32,521.72,4412,7432,624.92,774.92,361.92,624.72,9432,914.22,500.82,483.42,397.22,536.52,483.82,669.32,474.22,146.62,1741,310.3999.9814740.4650.6668.9617.6600.7455203.5102.7159.6221.8274
Totaal eigen vermogen 2,234.12,458.12,531.72,453.62,761.52,698.52,857.62,446.42,692.52,9432,914.22,500.82,483.42,397.22,536.52,483.82,669.32,474.22,146.62,1741,310.3999.9814740.4650.6668.9617.6600.7455203.5102.7159.6221.8274
Totaal passiva en aandeelhoudersvermogen 8,830.29,130.49,828.99,346.29,223.88,519.88,883.67,574.27,517.57,182.57,288.37,012.66,899.76,729.76,213.86,618.27,224.46,514.15,568.45,843.14,384.93,701.73,2393,041.62,718.72,381.12,0471,752.31,517.81,203.7833.3922.4980.81,080.3