Altria Group, Inc.

NYSE:MO

50.06 (USD) • At close October 22, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,6914,0304,5444,9452,1171,3331,2534,5692,3693,3213,1752,9003,2702,3141,8717,9166,4985,0206,2585,7443,7775654539375,1004,0812,2822401,1381841821,02112614611816818973156
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 3,6914,0304,5444,9452,1171,3331,2534,5692,3693,3213,1752,9003,2702,3141,8717,9166,4985,0206,2585,7443,7775654539375,1004,0812,2822401,1381841821,02112614611816818973156
Nettovorderingen 711,769471372683096031511241241151932681,25096443,3236,0705,3615,7545,2565,1395,1485,0194,3134,6914,2944,4664,5084,3823,9824,1474,1214,1012,9562,2222,0831,8781,797
Voorraad 1,2151,1801,1941,9662,2932,3312,2252,0512,0312,0401,8791,7461,7791,8031,8101,06910,57112,18610,58410,0419,5409,1278,9238,7659,0289,4459,0399,0027,8627,9877,3587,7857,4457,1535,7515,3844,1543,8363,827
Overige vlottende activa 608241298691466352634895113744364536076146603572,4982,8763,5784,3622,8092,6102,7512,5172,4542,0131,8251,4821,3711,3551,286953902967555377146127113
Totaal vlottende activa 5,5857,2206,0837,1174,8244,2994,3447,2606,0866,8786,5906,3157,1315,9815,77311,07622,89026,15225,78125,90121,38217,44117,27517,23820,89520,23017,44015,19014,87913,90812,80813,90612,59412,3679,3808,1516,5725,9145,893
Niet-vlottende activa:
Materiële vaste activa, netto 1,6521,6081,5532,0121,9991,9381,9141,9581,9821,9832,0282,1022,2162,3802,6842,1998,85717,27416,67816,30516,06714,84615,13715,30312,27112,33511,62117,09611,11611,17110,46310,5309,9469,6048,4578,6486,5826,2375,684
Goodwill 6,7915,1775,1775,1775,1775,1965,3075,2855,2855,2855,1745,1745,1745,1745,174778,00133,235000000000000000000000
Immateriële activa 13,68612,38412,30612,61512,68712,27912,40012,03612,02812,04912,05812,07812,09812,11812,1383,0394,95312,08543,41539,11239,54537,87137,54833,09016,87917,56617,78918,99819,31919,74419,74618,52318,62419,03715,68215,0714,0523,9884,457
Goodwill en immateriële activa 20,47717,56117,48317,79217,86417,47517,70717,32117,31317,33417,23217,25217,27217,29217,3123,11612,95445,32043,41539,11239,54537,87137,54833,09016,87917,56617,78918,99819,31919,74419,74618,52318,62419,03715,68215,0714,0523,9884,457
Langetermijnbeleggingen 10,0419,60013,48119,52923,58130,49618,85118,8806,7227,7978,4526,6375,5099,8694,9804,26100000000000000000000000
Belastingvorderingen 00005,0835,1725,2478,4165,6636,0886,8544,953000000000000000000000000000
Overige niet-vlottende activa 815965923964-4,080-3,742-4,861-7,903-5,231-5,605-6,297-1,9304,8341,8805,9286,56312,51015,52422,07520,33019,18117,38215,00813,43611,3369,7899,0973,5878,4977,8268,1887,0556,2205,5615,0095,0901,9391,5031,395
Totaal niet-vlottende activa 32,98529,73433,44040,29744,44751,33938,85838,67226,44927,59728,26929,01429,83131,42130,90416,13934,32178,11882,16875,74774,79370,09967,69361,82940,48639,69038,50739,68138,93238,74138,39736,10834,79034,20229,14828,80912,57311,72811,536
Totaal activa 38,57036,95439,52347,41449,27155,63843,20245,93232,53534,47534,85935,32936,96237,40236,67727,21557,211104,270107,949101,64896,17587,54084,96879,06761,38159,92055,94754,87153,81152,64951,20550,01447,38446,56938,52836,96019,14517,64217,429
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5825524493803253993744254004164094515035294944941,4634,0163,6453,4663,1983,0883,6003,7873,3513,3593,3183,4093,3643,7893,1372,4012,8202,4621,9170000
Kortlopende schulden 1,1211,5561,1051,5001,00013,848864041,0005251,45960007751353,0834,2016,2664,2973,3761,9653,4519,9682,2422,0471,6732,2792,7191,4972,9352,8622,6872,6211,5645601,156967678
Belastingschulden 0000000000002202310980000003,8240000000000000000
Uitgestelde opbrengsten 2,7002,7002,9003,1843,0213,055003,1903,0842,9823,165000011,99414,46613,18213,32312,11611,61611,3300000000000000000
Overige kortlopende verplichtingen 6,9163,8084,1253,9993,8283,8915,5546,9503,4843,1733,1423,1766,5406,3116,7236,5132,2422,7443,0652,4882,7032,4132,27213,22112,42410,97310,0809,3528,8618,2838,3968,0007,1357,0015,7857,4094,0203,5153,289
Totaal kortlopende verplichtingen 11,3198,6168,5799,0638,17421,1936,7927,3757,0787,6737,0588,2517,6436,8407,9927,14218,78225,42726,15823,57421,39319,08220,65326,97618,01716,37915,07115,04014,94413,56914,46813,26312,64212,0849,2667,9695,1764,4823,967
Langlopende verplichtingen:
Langetermijnschulden 25,11225,12426,93927,97127,04211,89813,03013,88112,91513,69313,99212,41913,08912,19411,1857,3397,96314,49817,86818,68321,16321,35518,65119,15412,22612,61512,43012,96113,10714,97515,22114,58314,21316,12114,86115,8825,2225,9457,331
Uitgestelde opbrengsten niet-vlottend 02,7001,6362,5422,3082,3322,4703,0603,5593,5082,4024,2734,0217,4733,4833,60100000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 2,7992,8973,6924,5325,0835,1725,2478,4165,6636,0886,8544,9537,5624,6188,5634,9957,09310,85114,22913,55313,11011,63310,4846,6655,6805,0804,7664,3673,7383,3953,0672,8882,4742,6982,0088251,288994872
Overige niet-vlottende verplichtingen 2,8301,5402833813452542834274475034352,2639321,0501,3821,3104,81910,3479,84610,36010,67211,62611,54711,26710,1539,6498,7608,2858,0377,9246,8226,7175,5433,7192,8224,605636566522
Totaal niet-vlottende verplichtingen 30,74132,26132,55035,42634,77819,65621,03025,78422,58423,79223,68323,90825,60425,33524,61317,24519,87535,69641,94342,59644,94544,61440,68237,08628,05927,34425,95625,61324,88226,29425,11024,18822,23022,53819,69121,3127,1467,5058,725
Totaal passiva 42,06040,87741,12944,48942,95240,84927,82233,15929,66231,46530,74132,15933,24732,17532,60524,38738,65761,12368,10166,17066,33863,69661,33564,06246,07643,72341,02740,65339,82639,86339,57837,45134,87234,62228,95729,28112,32211,98712,692
Eigen vermogen:
Preferente aandelen 00000000000000003480000000000000000000000
Gewone aandelen 93593593593593593593593593593593593593593593593593593593593593593593593593500000000000000
Ingehouden winsten 31,09429,79230,66434,67936,53943,96242,25136,90627,25726,27725,16824,31623,58323,45922,59922,13134,42659,87954,66650,59547,00843,25937,26933,48129,55626,26124,92422,47819,77917,48915,71814,86712,03810,9609,0797,8336,4375,3444,456
Overige gereserveerde algehele resultaten -2,673-2,771-3,056-4,341-2,864-2,547-1,897-2,052-3,280-2,682-1,378-2,040-1,887-1,484-1,561-2,181-237-3,808-1,853-1,141-2,125-3,956-3,373-2,950-2,108-8,899-8,381-8,221-7,485-7,083000000000
Overige totale aandeelhoudersvermogen -32,896-31,929-30,149-28,434-28,388-27,564-25,912-23,019-22,039-21,520-20,607-20,074-18,951-17,718-17,904-18,057-16,918-17,387-18,041-19,675-20,741-20,760-15,211-16,461-13,078-1,165-1,623-391,6912,380-4,091-2,304474987492-154386311281
Totaal eigen vermogen van aandeelhouders -3,540-3,973-1,6062,8396,22214,78615,37712,7702,8733,0104,1183,1373,6805,1924,0692,82818,55439,61935,70730,71425,07719,47819,62015,00515,30516,19714,92014,21813,98512,78611,62712,56312,51211,9479,5717,6796,8235,6554,737
Totaal eigen vermogen -3,490-3,923-1,6062,9256,31914,78815,38012,7732,8663,0064,1173,1393,7155,2274,0722,82818,55443,14739,84835,47829,83723,84423,63315,00515,30516,19714,92014,21813,98512,78611,62712,56312,51211,9479,5717,6796,8235,6554,737
Totaal passiva en aandeelhoudersvermogen 38,57036,95439,52347,41449,27155,63743,20245,93232,53534,47534,85935,29836,96237,40236,67727,21557,211104,270107,949101,64896,17587,54084,96879,06761,38159,92055,94754,87153,81152,64951,20550,01447,38446,56938,52836,96019,14517,64217,429