Merck & Co., Inc.

NYSE:MRK

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

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

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Operationele Activiteiten:
Nettowinst 36514,52612,3587,0829,7776,1932,4183,9414,45911,9344,5176,2996,39298213,024.27,808.43,275.44,433.84,631.35,813.46,830.97,149.57,281.86,821.75,890.55,248.24,614.13,881.33,335.22,9972,166.22,446.62,121.71,781.21,495.4
Afschrijvingen & Amortisatie 3,8723,9093,2143,6253,6524,5194,6375,4416,3756,6916,9886,9787,4277,3812,5761,631.21,988.22,268.41,708.11,450.71,314.21,488.31,463.81,277.31,144.81,015.11,034.3927.1859.2875.5414.7321.4263.8254221.7
Uitgestelde Inkomstenbelasting -1,899-1,568187-668-556-509-2,621-1,521-764-2,600-330669-1,537-1,0921,820.2530.1-1,781.9-530.2948.9131.7444.80000000-96.5-167-16.61.2-132.2-65.9
Aandelen Gebaseerde Vergoedingen 645541479441417348312300299278276335369509415.521921116800000000000000000
Verandering in Werkkapitaal -2,205-2,782-3,839-4,590-2,067-1,553-5,021-2,601-2681,824-794-4,136-766930-2,706.9-3,9841,355.9-137.41,180.51,521.5489.1547-123.7-1,023.6-3,454.4-741.71764.9-423.6564.47.8-54.141.1228-274.8
Vorderingen -1,148-644-2,033-1,002294-418297-619-480-554436349-1,168-1,089165.2-8321-241-209-760300000000000000
Voorraden -816-161-674-855-508-911-14520680579-365-482-6781,9901,211.3-452.1-40.7226.5125.6331.9-435.3166.4-557.5-210.1-223-409.5-53.5-267.6-271.8-26.2-46.6-177.5-98.7-112.9-121.6
Crediteuren -380-289405724399230254278-37593522-302182124-45.2170-259395241174-50900000000000000
Overig Werkkapitaal 139-1,688-1,537-3,457-2,252-454-5,427-2,466-5561,706-1,387-3,701898-95-4,038.2-3,618.91,634.6-517.91,022.91,022.6830.4380.6433.8-813.5-3,231.4-332.270.5332.5-151.8590.654.4123.4139.8340.9-153.2
Overige Niet-Contante Posten 12,2284,4691,7104,3292,2171,9246,7224,8162,320-10,267997-1234982,112-11,7373671,950.6562.679.6-35.41,096.5-100.9458611.92,549.8-193.3651.2554.4-826.6-3.5-57.1269.56.2-75.44.3
Kasstroom uit Operationele Activiteiten 13,00619,09514,10910,25313,44010,9226,44710,37612,4217,86011,65410,02212,38310,8223,3926,571.76,999.26,765.27,608.58,799.19,862.49,528.79,079.97,687.36,130.75,328.36,316.65,427.72,944.24,139.93,048.52,504.42,4342,055.61,380.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,863-4,388-4,448-4,684-3,473-2,615-1,888-1,614-1,283-2,317-1,548-1,954-1,723-1,678-1,460.6-1,298.3-1,011-980.2-1,402.7-1,726.1-1,915.9-2,369.7-2,724.7-2,727.8-2,560.5-1,973.4-1,448.8-1,196.7-1,005.5-1,009.3-1,012.7-1,066.6-1,041.5-670.8-433
Netto Overnames -12,032-121-12,907-6,606-4,954-431-396-780-7,42811,239-2001,954-50391-8,972.60-1,135.900-12.8-1,527.800002,586.291001,321.1000000
Aankoop van Beleggingen -955-1,204-1-1,095-3,202-7,994-10,739-15,651-16,681-24,944-17,991-12,841-7,325-7,197-3,070.8-11,967.3-10,132.7-20,044.3-125,308.4-82,256.4-61,586.9-37,555-34,780.4-28,637.1-42,211.2-29,675.4-22,986.7-15,719.1-13,772.3-14,814.5-9,521.4-5,255.8-8,800.6-8,563.3-8,848.2
Verkoop/verval van Beleggingen 1,6587211,0262,8128,62215,25215,66414,35320,41315,53316,2987,7836,3244,56110,941.911,065.810,860.216,143.8128,981.482,363.860,823.435,913.833,38327,667.540,308.728,618.922,075.415,079.212,430.115,082.39,863.54,983.18,518.98,227.68,659.3
Overige Investeringsactiviteiten 1,10932-22513037810238482221115293-1,747-1164265,718.1365.4-1,390.6-3-3.1-6.6-25-0.1-190.256.11,646432.3-152.6-142.7-295.7709.1-1,917.1-12.622.66.763.9
Kasstroom uit Investeringsactiviteiten -14,083-4,960-16,555-9,443-2,6294,3142,679-3,210-4,758-374-3,148-6,805-2,890-3,4973,156-1,834.4-2,810-4,883.72,267.2-1,638.1-4,232.2-4,011-4,312.3-3,641.3-2,817-11.4-1,602.7-1,979.3-1,322.3-32.4-2,587.7-1,351.9-1,300.6-999.8-558
Financieringsactiviteiten:
Schuldaflossingen -4,184-2,251-2,319-1,957-1,248-4,287-1,103-2,386-5,032-6,617-1,775-22-1,547-1,341-2,447.3-467.9-1,183.9-1,273.9-1,281.3-18-1,783.1-394.8-1,943.2-904.5-2,132-1,581.7-494.4-21.3-481.8-1,396-1,225.2-499.7-124.9-475.1-153.9
Uitgifte van Gewone Aandelen 1253843,6487,0573615,7154992,01804,2467,5184,4961,3972,4520102.3898.6369.9136.5240.3388.2318.3300.62,140.7322.9490.1413.3442.21,283.6138.683.452.248.337.836
Terugkoop van Gewone Aandelen -1,346-384-840-1,281-4,780-9,091-4,014-3,434-4,186-7,703-6,516-2,591-1,921-1,5930-2,725-1,429.7-1,002.3-1,015.3-2,474.6-2,034.1-2,091.3-3,890.8-3,545.4-3,582.1-3,625.5-3,572.8-2,493.3-1,570.9-704.5-371-862.9-184.1-744.8-208.2
Uitgekeerde Dividenden -7,445-7,012-6,610-6,215-5,695-5,172-5,167-5,124-5,117-5,247-5,277-5,236-4,811-4,853-3,479.1-3,278.5-3,307.3-3,322.6-3,349.8-3,310.7-3,250.4-3,191.6-3,145-2,798-2,589.7-2,253.1-2,039.9-1,728.9-1,539.8-1,434.1-1,174.4-1,064.3-893.2-749.4-650.3
Overige Financieringsactiviteiten 8,0401448,714-4362,501-325278-118-1,1162086086-22-1064,288.1846.6156.2-375.32,469.5-28.4-148.5-172.53,607.21,659.84,111.53,049.3834.9-36907.5-6.22,4731,019.415.8977.821
Kasstroom uit Financieringsactiviteiten -4,810-9,1192,593-2,832-8,861-13,160-10,006-9,044-5,387-15,113-5,990-3,267-6,904-5,441-1,638.3-5,522.5-4,866.1-5,604.2-3,040.4-5,591.4-6,827.9-5,531.9-5,071.2-3,447.4-3,869.4-3,920.9-4,858.9-3,837.3-1,401.4-3,402.2-214.2-1,355.3-1,138.1-953.7-955.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 23-410-13325317-205457-131-1,310-553-346-3042-29533.4-182.698.352.1-128.8108.2155.7113.2-89.2-83.7-28.685.1-82.3-106.122.969.37.7-20-3.819.2-36.2
Netto Kasstroomverandering -5,8644,60614-1,7691,9671,871-423-2,0091,083-8,1802,170-802,6311,5894,943.1-967.8-578.6-3,670.66,706.51,677.8-1,04299-392.8514.9-584.31,481.1-227.3-495243.4774.6254.3-222.8-8.5121.3-168.9
Kaspositie aan het Einde van de Periode 6,90912,7738,1678,1659,9347,9676,0926,5158,5247,44115,62113,45113,53110,9009,311.44,368.35,336.15,914.79,585.32,878.81,2012,2432,1442,536.82,021.92,606.21,125.11,352.41,847.41,604829.4575.1797.9806.4685.1