Modine Manufacturing Company

NYSE:MOD

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

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 60.167.145.237.870.941.739.334.268.970.587.223.831.44532.9343.65743.53638.31321.22730.79855.09172.42777.24375.40220.40131.0749.236.434.81832.738.533.618.827272415.64.713
Kortetermijnbeleggingen 03.53.703.24.35.74.73.32.80002.721.2391.1892.9093.001000000000000000000000
Liquide middelen en kortetermijnbeleggingen 60.167.145.237.870.941.739.334.268.970.587.223.831.44535.6544.89644.72541.22224.22830.79855.09172.42777.24375.40220.40131.0749.236.434.81832.738.533.618.827272415.64.713
Nettovorderingen 435.8398367.5267.9292.5338.6342.4295.2189.1192.9221.1194.5216.103219.189167.745122.266287.383252.359254.681251.734180.163161.319162.462167.665182.724182.9162.2149.8148145.2110.380.881.173.267.66358.953.554.3
Voorraad 357.9324.9281.2195.6207.4200.7191.3168.5111107.7116.8118.8121.45122.62999.55988.077123.395111.91290.227149.781136.441130.812121.663145.579168.597178.9152.7142.1150136.1104.393.688.697.58374.375.166.259.5
Overige vlottende activa 40.256.463.735.962.565.870.155.443.579.760.761.959.08250.15743.24229.1736.87168.35836.48952.72453.33147.99246.44353.84247.16442.141.939.435.326.418.613.513.714.411.28.76.74.22.4
Totaal vlottende activa 894846.4757.6644.8633.3646.8643.1553.3412.5464.2498.8399428.08427.625355.442325.851522.152456.857412.195509.33442.362417.366405.97387.487429.555453.1393.2366.1351.3340.4271.7221.5202.2212.1188.8170156.3128.6129.2
Niet-vlottende activa:
Materiële vaste activa, netto 441.7314.5315.4269.9448484.7504.3459338.6322.1359.6355.9412.059430.295418.616426.565533.807517.349467.6496.18397.697359.758340.388353.357337.987303.8248.3210.1201.3170.9164135.6136.5146.4108.490.389.287.773.8
Goodwill 230.9165.6168.1170.7166.1168.5173.8165.115.816.228.728.729.93331.57229.55225.63944.93567.02952.25600000000000000000000
Immateriële activa 188.381.190.3100.6106.3116.2129.9134.18.29.912.48.35.8056.5336.8887.04110.60511.13712.73539.49436.436.10655.05462.31670.33980.459.462.970.534.131.97.38.29.15.621.71.91.4
Goodwill en immateriële activa 419.2246.7258.4271.3272.4284.7303.7299.22426.141.13735.73838.10536.4432.6855.5478.16664.99139.49436.436.10655.05462.31670.33980.459.462.970.534.131.97.38.29.15.621.71.91.4
Langetermijnbeleggingen 0.20.10.20.104.33.63.3-24-26.1-41.13.33.7283.8633.07911.26800000000000000000000000
Belastingvorderingen 75.183.727.224.5104.897.196.9108.4123.1102.798.6-40.30.1560.92943.24241.6100000000000000000000000
Overige niet-vlottende activa 21.374.568.266.177.620.421.826.346.742.675.363.914.24916.122-16.56714.15838.35949.201107.309107.151102.73397.588101.63296.95193.22678.458.155.948.744.842.440.836.630.625.426.723.518.417.9
Totaal niet-vlottende activa 957.5719.5669.4631.9902.8891.2930.3896.2508.4467.4533.5419.8465.93489.314484.81526.281627.706644.716639.9642.825536.83493.452497.074512.624501.552462.6365.8328.9320.5249.8238.3183.7181.3186.1139.4119114.410893.1
Totaal activa 1,851.51,565.91,4271,276.71,536.11,5381,573.41,449.5920.9931.61,032.3818.8894.01916.939840.252852.1321,149.8581,101.5731,052.0951,152.155979.192910.818903.044900.111931.107915.7759695671.8590.2510405.2383.5398.2328.2289270.7236.6222.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 283.4332.8325.8233.9227.4280.9277.9230.3142.4152171.1150.7156.907177.549142.20994.506199.593196.33187.048159.876108.4293.50680.11275.85684.89397.484.372.277.374.255.640.337.841.835.60000
Kortlopende schulden 4723.429.423.330.4114.693.1105.237.119.133.231.119.7219.0873.2455.2320.3033.4936.10864.9123.02412.69210.75634.5729.44773.823.71725.124.421.614.33.78.8510.83.113.96.4
Belastingschulden 0000000000004.4943.7397.5274.83800000000000000000000000
Uitgestelde opbrengsten 79.421.511.85.65.64000000000123.277120.82893.5388.624102.32789.61279.67175.83776.721000000000000000
Overige kortlopende verplichtingen 136129.4127.5206.4108.6117.6144.5119.994.1140.1152.998.3118.505129.905125.94628.01814.67614.613.16917.97912.1627.3944.7996.04581.13785.484.780.878.67162.740.134.237.533.261.158.648.751.8
Totaal kortlopende verplichtingen 545.8507.1494.5469.2372517.1515.5455.4273.6311.2357.2280.1295.133316.541271.4251.033335.4307.953294.949345.094213.218193.263171.504193.194175.477256.6192.7170181169.6139.994.775.788.173.871.961.762.658.2
Langlopende verplichtingen:
Langetermijnschulden 398329.3348.4311.2452335.1386.3405.7125.5129.6131.2132.5144.56138.582135.952243.982226.198175.856151.70640.72484.88598.556139.654134.359211.112143.889.685.287.862.277.652.474.388.155.433.143.933.633.2
Uitgestelde opbrengsten niet-vlottend -72.300-5.9-8.1-8.2-9.90-4.2-3.4-7.3-8.600076.92500000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 304.85.95.98.18.29.99.74.23.47.38.612.2979.98810.839.97922.84318.38538.42444.07242.77437.3735.12731.79624.53620.514.313.312.2131011.318.517.115.312.911.196.1
Overige niet-vlottende verplichtingen 194.5125.1120.1140.2218.5144.7173.1157.5139.1130.2115.3137.9115.58988.87697.98426.37697.509106.11261.59162.48551.77451.24240.7638.90939.7441.639.940.841.437.130.823.70-0.100.1000
Totaal niet-vlottende verplichtingen 550.2459.2474.4451.4670.5479.8559.4572.9264.6259.8246.5270.4272.446237.446244.766357.262346.55300.353251.721147.281179.433187.168215.541205.064275.388205.9143.8139.3141.4112.3118.487.492.8105.170.746.15542.639.3
Totaal passiva 1,096966.3968.9920.61,042.5996.91,074.91,028.3538.2571603.7550.5567.579553.987516.166608.295681.95608.306546.67492.375392.651380.431387.045398.258450.865462.5336.5309.3322.4281.9258.3182.1168.5193.2144.5118116.7105.297.5
Eigen vermogen:
Preferente aandelen 000007.68.776.74.23.731.8300012.1170.3689.7195.4270000000000000000000
Gewone aandelen 3534.634.233.933.33332.732.430.630.430.229.929.629.4429.2620.49420.49220.54520.75621.79421.47821.27821.08918.96418.96400000000000000
Ingehouden winsten 659497.5344.4259.2469.9472.1394.9372.4358.2359.8338207.6231.828203.686198.421227.687342.49439.318433.405575.937535.885514.109518.9516.95505.522469.1423378.7339.2296.6243.6213.2205.6-3170.1154135.9117.5105
Overige gereserveerde algehele resultaten -163.4-161.1-149.5-161.2-223.3-178.4-140.3-181.8-174.2-198.6-103.9-128.4-90.306-22.533-49.183-62.89448.883-15.3680.28126.5735.758-22.316-36.18-24.608-23.423-290.9-262.6-248.8-232.5-182.6-182.6-165.6-147.8-128.2-100-90.5-79.7-68.6-57.1
Overige totale aandeelhoudersvermogen 217228.6229224.2213.7206.8202.5191.2161.4164.8160.6156.2153.479152.359145.58858.5543.92648.40441.26430.04923.4217.31612.19-9.453-20.821275262.1255.8242.7194.3190.7175.5157.2336.2113.6107.597.882.576.9
Totaal eigen vermogen van aandeelhouders 747.6599.6458.1356.1493.6541.1498.5421.2382.7360.6428.6268.3326.431362.952324.086243.837467.908493.267505.425659.78586.541530.387515.999501.853480.242453.2422.5385.7349.4308.3251.7223.1215205183.7171154131.4124.8
Totaal eigen vermogen 755.5606.4465.5363.5499.3548.3506.9428.4389.2365.2432.4270.9327.656362.952324.086243.837467.908493.267505.425659.78586.541530.387515.999501.853480.242453.2422.5385.7349.4308.3251.7223.1215205183.7171154131.4124.8
Totaal passiva en aandeelhoudersvermogen 1,851.51,565.91,4271,276.71,536.11,5381,573.41,449.5920.9931.61,032.3818.8894.01916.939840.252852.1321,149.8581,101.5731,052.0951,152.155979.192910.818903.044900.111931.107915.7759695671.8590.2510405.2383.5398.2328.2289270.7236.6222.3