The Mosaic Company

NYSE:MOS

28.33 (USD) • At close November 4, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199419931992199119901989
Operationele Activiteiten:
Nettowinst 1,209.23,614.21,634.9665.6-1,090.8469.9-104.2301.21,001.81,030.4582.8571,891.81,930.82,513.5831.52,350.22,082.8419.7-121.4165.6-135.4-110.2-66.5-345-766.3-1287.8144.3127.1-3.6-12090.995.882.6
Afschrijvingen & Amortisatie 960.6933.9810.1948.51,495.4883.9665.5711.2739.8750.9699.086604.8508.1447.4445359.7356.5313.3270.2180.7171.9173.7165.6171.6232.5251.7183.2168.6134.4122.461.583.390.292.5
Uitgestelde Inkomstenbelasting -261.2344.498.8-684-261.3-101.8612.4-182.647.4-153.80200245.8196.651.1-138.9140.746.7-38.933-3.3-69.7-36.1-21.1136.42.958.40.391.6-78.4170.213.79.1
Aandelen Gebaseerde Vergoedingen 3327.929.517.827.927.52830.541.354.343.02929.221.1000008.1000000000000000
Verandering in Werkkapitaal 401.7-992.5-629.7526.9-19.4-21.7-316.9314.2-163.9301.2112.286-931.9-108.4-108.667.3-1,245.4-14.1-59.9-137-37.4111.1-74.3-115268.967.5-219.119.9-214.294.271.29.4-27.6-6.467.2
Vorderingen 0-215.2-995.1-333.3125.4-342-114.9249.2-413.8261.6692.743-355.1116.3-67.7-425.5-189.20072.9000000000000000
Voorraden 1,061.4-749.6-1,067.9191.4128.1-497.4-155.7263-53.7-129.752.8-315.56.5-244.792-178.7-547.1-19.3-16.8-78.237.3-56.840.3-8.468.8-81.43.9-55.4-1.346.63.58.8-21.724.5
Crediteuren -1,055.1219.8995.1333.3-125.4342-65.7-243.9301.8277.20-100.5-58.4240.1156.8-686.800-30.9-30.900000000000000
Overig Werkkapitaal 395.4-247.5438.2335.5-147.5475.719.445.91.8-107.9-633.257-160.8-172.8-36.3244-190.7533-40.6-162.240.873.8-17.5-155.3277.3-1.3-137.716-158.895.524.65.9-36.415.342.7
Overige Niet-Contante Posten 63.97.9243.4107.8943.6192.850.791.6141.2310.7126.68694.6106.1-643.3-62.4568.2-38.214.1298.5-8.2-104.987.3-2.5289788.3245.6214.1243-12.4-48.5153.7-192.416.436.4
Kasstroom uit Operationele Activiteiten 2,407.23,935.82,1871,582.61,095.41,450.6935.51,266.11,807.62,293.71,563.9431,887.52,705.82,426.71,3561,242.62,546.6707.9279.5333.739.46.8-156.8363.4458.4269.1563.4342488.6143.126.2144.4209.7287.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,402.4-1,247.3-1,288.6-1,170.6-1,272.2-993.3-820.1-843.1-1,000.3-929.1-1,371.429-1,588.3-1,639.3-1,263.2-910.6-781.1-372.1-292.1-389.5-255.2-120.3-140-123.1-118.1-257.5-760.9-244-172.7-64.2-40.7-106.1-177.7-168.5-94.3
Netto Overnames 117.40-24.11,170.6-55.1-986.8-112-413-124.8-1,798.60-15056.417.6-17.37.900000000000000000
Aankoop van Beleggingen -1,240.8-762.5-3.2-6.1-15.4-534.5-1,676.3-1,659.4-857.10000-385.300-8.1-1.4-0.4000000000000000
Verkoop/verval van Beleggingen 1,209.17430.81.72.3518.81,658.11,029.354.4000344.41,0300745.724.6000000012.80011.6000000
Overige Investeringsactiviteiten -0.57.2-7.2-1,185.1-20.512.3282.5836.7-623.3-11.4-269.48613.5-332.5-1026.7-28.96.1-10.539.340.1116-21.1625.84.4313.851.2-82.6-73.44.519.9-2.838.7-36.7-71.6
Kasstroom uit Investeringsactiviteiten -1,317.2-1,259.6-1,322.3-1,189.5-1,360.9-1,983.5-667.8-1,049.5-1,748.4-2,739.1-1,640.915-1,589.8-1,627.4-572.1-866.3-81.6-341.6-304-350.6-215.1-4.3-161.1502.7-113.769.1-709.7-326.6-234.5-59.7-20.8-108.9-139-205.2-165.9
Financieringsactiviteiten:
Schuldaflossingen -79.8-2,371.5-1,334.9-1,604.7-602.5-947.3-703.6-1,190.4-426.8-222.5-0.4-264.6-708.8-867.6-383.6-510.200000-324.4000-544.8-161.70000000
Uitgifte van Gewone Aandelen 001,029.30591001,117384.41,012.201,459.5918.900057.248.128.926.4133.167.9002.48.95.525.80255.500196.60
Terugkoop van Gewone Aandelen -756-1,665.2-410.90-149.900-75-709.5-2,755.30-1,162.5-1,162.500000000-79.5000-3.1-187.5-105.10000-388-28.5
Uitgekeerde Dividenden -351.6-197.7-103.7-75.8-67.2-38.5-210.6-385.1-384.7-382.5-366-288.4-89.300000-10.30-9.5-9.2-17.5-26.3-36.6-36.6-29.7-30.1000000
Overige Financieringsactiviteiten -452.71,555.7138.11,396.7146.42612,115-355.1243.28.13,249.715-3.610.8371.9341374.2-767-218.7-691.3-99.6268.5-164.2-219.7-523.11,017.1183-49.9-164.9-173.6179.512.2224.1-155.3
Kasstroom uit Financieringsactiviteiten -1,480.5-2,678.7-682.1-283.8-82.2-724.81,200.8-888.6-893.4-2,3402,884.115-397.8-1,061.1-585-710.6-224.9-709.8-173.212.6106.324-76.7-181.7-246-557.3441.5-190.4-301.6-401.8-64.9161.7-11.64.7-183.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -2.8-29.79.3-47.29-65.714.568.8-264.1-133.1-71.143-13.8-112.7113.840.7-193.644.916.6-13.21000000000000000
Netto Kasstroomverandering -393.3-32.2191.962.1-338.7-1,323.41,483-603.2-1,098.3-2,918.52,736-113.9-95.41,383.4-180.2742.51,540.1247.3-71.7234.959.1-231164.23.7-29.80.946.4-194.127.157.479-6.29.2-61.9
Kaspositie aan het Einde van de Periode 360.8754.1786.3594.4532.38712,194.4673.11,276.32,374.63,697.13,697.13,8113,906.42,5232,703.21,960.7420.6173.324576.817.7248.784.580.8110.6109.79.6196.1169111.632.638.829.6