Markel Corporation

NYSE:MKL

1740.35 (USD) • At close December 27, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,332.0344,137.4323,978.494,341.7363,072.8072,014.1682,198.4591,738.7472,630.0091,960.1691,978.526973.181775.032745.259850.494639.578477.661555.115333.757378.939372.511444.236296.781250.321.81300000000000000
Kortetermijnbeleggingen 3,750.72614,526.09714,387.29312,715.83311,167.15711,120.88412,101.64412,227.66111,036.72912,017.73111,594.8245,952.613541.014325.34492.581508.83451.552139.499248.541121.71482.01267.82164.79180.71141.74700000000000000
Liquide middelen en kortetermijnbeleggingen 10,211.86618,663.52918,365.78317,057.56914,239.96413,135.05214,300.10313,966.40813,666.73813,977.913,573.356,925.7941,316.0461,070.5991,343.0751,148.412529.213694.614582.298500.653454.523512.057361.572331.03143.5600000000000000
Nettovorderingen 00007,280.5146,914.47300000413.8831,179.547312.096279.879271.067296.295322.982334.513416.086450.92408.5421,805.4141,327.547520.55287.63100000012.5000000
Voorraad 0-27,082.407-9,113.773-9,597.695303.053298.729-21,268.804-18,427.0440000000000000000000000000000000
Overige vlottende activa 00000000000110.33297.07480.29368.30786.534114.711117.889130.513171.955213.403219.665170.246139.27269.59100000000000000
Totaal vlottende activa 10,211.8662,988.47628,073.27624,977.11721,520.47820,049.5255,926.8865,316.5475,385.9734,690.2354,572.5872,360.3941,666.2831,382.6951,622.9541,419.479825.5081,017.596916.811916.739905.443920.5992,166.9861,658.577664.11000000012.5000000
Niet-vlottende activa:
Materiële vaste activa, netto 01,726.7041,633.7021,160.418441.934551.542501.617412.402430.835421.39347.909330.2290000000000009.9810.115.427.743.342.334.236.234.910.20000
Goodwill 2,624.7492,638.8382,899.142,604.6242,308.5482,237.9751,777.4641,142.2481,167.8441,049.115967.717674.9300000339.717339.717339.7170000000000000000000
Immateriële activa 1,588.6841,747.4641,822.4861,782.7181,738.4741,726.1961,355.681722.542792.372702.747565.083374.295867.558645.9502.833344.031344.911000357.317361.444372.128402.99992.31435.337.339.341.745.153.142.34535.87.40000
Goodwill en immateriële activa 4,213.4334,386.3024,271.6264,387.3424,047.0223,964.1713,133.1451,864.791,960.2161,751.8621,532.81,049.225867.558645.9502.833344.031344.911339.717339.717339.717357.317361.444372.128402.99992.31435.337.339.341.745.153.142.34535.87.40000
Langetermijnbeleggingen 605.922,198.00923,411.2219,709.94318,757.91216,841.82918,069.49116,973.50215,111.20416,155.30714,846.6228,359.5647,953.1157,478.5376,998.1796,268.8787,229.3646,906.7416,240.3935,937.8084,977.4413,869.9163,294.4212,885.8441,623.13900000000000000
Belastingvorderingen 037.218.43.922,363449.143434.115659.373-430.83500-330.229000000000000000000000000000
Overige niet-vlottende activa 27,087.267-23,961.913-1,652.102-1,164.318-22,804.934-449.143-19,005.223-18,045.277-15,111.204-16,576.697-15,194.531-8,359.564-7,953.115-7,478.537-6,998.179-6,268.878-7,229.364-6,444.259-5,937.884-5,560.734-4,977.441-3,869.916-3,666.549-3,288.843-1,725.353-43.3-47.4-54.7-69.4-88.4-95.4-76.5-81.2-70.7-17.60000
Totaal niet-vlottende activa 31,906.64,386.30227,682.84624,097.28522,804.93421,357.5423,133.1451,864.791,960.2161,751.8621,532.81,049.225867.558645.9502.833344.031344.911802.199642.226716.791357.317361.4443,666.5493,288.8431,725.35343.347.454.769.488.495.476.581.270.717.60000
Totaal activa 55,045.7163,442.73848,477.09641,710.05437,473.81542,580.62732,805.01634,416.38824,941.27125,200.35723,955.51116,531.8311,606.93610,825.58910,259.259,477.6910,134.41910,088.1319,814.0989,397.5868,532.2337,408.566,440.6285,473.1532,455.3051,921.31,870.11,605.31,314.51,162.51,177.4757.2755733.2195.7147.3103.757.336.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,037.722669.7427,492.9826,230.1295,660.1355,399.3624,943.642,238.2722,241.5862,144.7912,149.91881.986855.42950.71546.85342.39939.790000000000000000000000
Kortlopende schulden 000000000000000000000000000000000000000
Belastingschulden 29.42.231.317.264.183.751.346.40000000000000000000000000000000
Uitgestelde opbrengsten 29.48,164.13506,103.3255,547.0875,110.8244,857.3282,054.3560000000000000000000000000000000
Overige kortlopende verplichtingen -1,096.522-8,836.077-7,524.282-12,350.654-11,271.322-10,593.886-9,852.268-4,339.028-2,241.586-2,144.791-2,149.91-881.986-855.429-50.715-46.8530-39.79000004,8253,998000000000000000
Totaal kortlopende verplichtingen 08,664.6267,492.9826,230.1295,660.1355,399.3624,943.642,238.2722,241.5862,144.7912,149.91881.98664.32750.7151,010.50142.3990000004,8253,998000000000000000
Langlopende verplichtingen:
Langetermijnschulden 3,779.7964,103.6294,361.2663,484.0233,534.1833,009.5773,099.232,574.5292,241.4272,253.5942,256.2271,492.551,293.521,015.947963.648688.509680.698858.357708855.077762.111640.493381.02573.111167.98493.293.2114.7106.7100.778.2100.69412744.524.321.42.72.2
Uitgestelde opbrengsten niet-vlottend 0-3,554.0862,947.9042,493.9232,651.1832,114.389-2,506.879-1,989.90000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0836.8151,413.362990.1883895.188939.694989.8580000000000000000000000000000000
Overige niet-vlottende verplichtingen 35,740.021028,914.24225,165.70822,683.65421,022.3220014,794.12115,283.71314,949.091000-963.6480-680.698-858.357-708-855.077-762.111-640.493-381.02-573.111-167.984-93.2-93.2-114.7-106.7-100.7-78.2-100.6-94-127-44.5-24.3-21.4-2.7-2.2
Totaal niet-vlottende verplichtingen 39,519.8174,103.6294,361.2663,484.0233,534.1833,009.5773,099.232,574.5292,241.4272,253.5942,256.2271,492.551,293.521,015.947963.648688.5097,493.2577,791.7388,108.6657,741.0837,149.9546,249.449531723167.98493.293.2114.7106.7100.778.2100.69412744.524.321.42.72.2
Totaal passiva 39,519.81725,541.36124,183.38221,208.53619,369.26833,306.26317,726.13415,621.82317,037.70417,537.30717,205.31812,556.5888,144.597,637.8977,467.5367,297.0167,493.2577,791.7388,108.6657,741.0837,149.9546,249.4495,205.524,570.781167.98493.293.2114.7106.7100.778.2100.69412744.524.321.42.72.2
Eigen vermogen:
Preferente aandelen 591.891591.891591.891591.89100000000000000000000000000000000000
Gewone aandelen 3,517.1463,493.8933,441.0793,428.343,404.9193,392.9933,381.8343,368.6663,342.3573,308.3953,288.863908.98891.507884.457872.876869.744866.362854.561743.503742.288737.356736.24600000000000000000
Ingehouden winsten 11,353.1019,836.82710,424.4618,195.1827,457.1765,782.313,776.7433,526.3953,137.2852,581.8662,294.9092,068.341,835.0861,735.9731,514.3981,297.9011,417.2691,015.679669.057537.068375.041251.568176.252302342.426303.9246.9200.2156.3121.9105.581.857.443.139.125.314.37.62.9
Overige gereserveerde algehele resultaten -478.21-857.077237.617584.376208.772-94.652,345.5711,565.8661,354.5081,704.5571,089.805911.337660.92551.093387.08613.029357.531426.153292.873377.147269.882171.297173.287124.45815.36800000000000000
Overige totale aandeelhoudersvermogen 000000000000000000302.5090737.356736.246735.569325.91425.625121.423109.968.157.116.645.227.525.811.622.921.87.38.73.6
Totaal eigen vermogen van aandeelhouders 14,983.92813,065.53414,695.04812,799.78911,070.8679,080.6539,504.1488,460.9277,834.157,594.8186,673.5773,888.6573,387.5133,171.5232,774.362,180.6742,641.1622,296.3931,705.4331,656.5031,382.2791,159.1111,085.108752.372383.419425.3356.8268.3213.4138.5150.7109.383.254.76247.121.616.36.5
Totaal eigen vermogen 15,525.89313,651.47915,179.28613,060.32311,255.9789,274.3649,667.858,541.0897,903.5677,663.056,750.1933,975.2423,462.3463,187.6922,791.7142,180.6742,641.1622,296.3931,705.4331,656.5031,382.2791,159.1111,235.108902.372533.419575.3506.8268.3213.4138.5150.7109.383.254.76247.121.616.36.5
Totaal passiva en aandeelhoudersvermogen 55,045.7163,442.73863,628.15241,710.05448,729.79342,580.62732,805.01634,416.38824,941.27125,200.35723,955.51116,531.8311,606.93610,825.58910,259.259,477.6910,134.41910,088.1319,814.0989,397.5868,532.2337,408.566,440.6285,473.1532,455.3051,921.31,870.11,605.31,314.51,162.51,177.4757.2755733.2195.7147.3103.757.336.5