MSCI Inc.

NYSE:MSCI

568.64 (USD) • At close June 6, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 405.854457.815993.5641,421.4491,300.5211,506.567904.176889.502791.834777.706508.799358.434183.309252.211226.575176.024268.07733.81824.36223.4115.735
Kortetermijnbeleggingen 00000000000070.898140.4973.891295.30400000
Liquide middelen en kortetermijnbeleggingen 405.854457.815993.5641,421.4491,300.5211,506.567904.176889.502791.834777.706508.799358.434183.309392.701300.466471.328268.07733.81824.36223.4115.735
Nettovorderingen 820.709839.555663.236664.511558.569499.268473.433327.597221.504208.239178.717169.49153.557180.566147.66277.1887.48880.375100.17588.75389.124
Voorraad 0036.6545.95120.09731.5919.27315.10312.38946.11551.38980.221152.88100000000
Overige vlottende activa 69.296120.78391.17457.4566.50875.94257.4850.0342.33277.32681.94296.346107.071104.67688.15583.37536.69167.217.4384.6390
Totaal vlottende activa 1,344.0211,418.1531,747.9742,143.411,925.5982,081.7771,435.0891,267.1291,055.671,063.271770.632637.035514.835677.943536.283602.484392.255281.403462.206369.68594.859
Niet-vlottende activa:
Materiële vaste activa, netto 190.32171.163180.437211.299233.776257.11490.87794.43795.58598.92694.07485.58867.41937.62334.36829.38128.4474.2465.1866.250
Goodwill 2,915.1672,887.6922,229.672,236.3861,566.0221,562.8681,545.7611,560.6211,555.851,565.6211,564.9041,798.8211,783.411,708.5851,706.671441.623441.623441.623441.623441.6230
Immateriële activa 907.613956.234558.517593.341234.748261.487280.803321.836347.64391.49433.628595.707641.074644.881716.25120.189145.907174.407200.76226.9160
Goodwill en immateriële activa 3,822.783,843.9262,788.1872,829.7271,800.771,824.3551,826.5641,882.4571,903.491,957.1111,998.5322,394.5282,424.4842,353.4662,422.921561.812587.53616.03642.383668.5390
Langetermijnbeleggingen 00214.389218.763190.8980000000000-24.577-18.593000
Belastingvorderingen 041.07429.20740.11923.62720.91114.90312.0139.5319.180000024.57718.59-3000
Overige niet-vlottende activa 88.31843.90337.34163.38523.97820.28220.51919.63218.30218.49930.93717.38612.90123.96429.5946.5926.816333.0450
Totaal niet-vlottende activa 4,101.4184,100.0663,249.5613,363.2932,273.0492,122.6621,952.8632,008.5392,026.9082,083.7162,123.5432,497.5022,504.8042,415.0532,486.883597.785622.793623.276650.569677.8340
Totaal activa 5,445.4395,518.2194,997.5355,506.7034,198.6474,204.4393,387.9523,275.6683,082.5783,146.9872,894.1753,134.5373,019.6393,092.9963,023.1661,200.2691,015.048904.6791,112.7751,047.519123.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 09.81215.03913.44814.2536.4983.8921.6120.5682.5122.8351.1982.9850.2392.1621.8780.90.07000
Kortlopende schulden 084.5058.7130000000019.77243.09310.33954.91642.08822.08622.25000
Belastingschulden 37.98924.7098.05859.63526.19514.2116.25315.10312.38946.11529.1827.33332.43138.02200016.212000
Uitgestelde opbrengsten 1,123.4231,083.864882.886824.912675.87574.656537.977374.365334.358317.552310.776319.735308.022289.217271.3152.944144.711125.23102.36887.9520
Overige kortlopende verplichtingen 424.242387.738335.831352.942305.451305.422250.886216.591189.255131.937130.122135.003123.414114.988138.54695.59123.39781.169118.614126.8360
Totaal kortlopende verplichtingen 1,585.6541,517.0251,250.5271,250.9371,021.769900.786809.008607.671536.57498.116472.912503.041509.945452.805466.924292.5291.094244.931220.982214.7880
Langlopende verplichtingen:
Langetermijnschulden 4,631.9694,616.964,634.8084,311.4513,519.1193,236.072,575.5022,078.0932,075.2011,579.404788.358788.01811.6231,066.5481,207.881337.622379.709402.75000
Uitgestelde opbrengsten niet-vlottend 00000000000000000-56.977000
Uitgestelde belastingverplichtingen niet-vlottend 027.02829.0983.6512.77466.63982.00878.02794.067110.937137.838221.054234.245240.456240.94440.0849.36456.97766.08175.5140
Overige niet-vlottende verplichtingen 167.81396.9791.027104.13288.21977.65887.928110.86559.13557.04350.59246.06838.59527.75527.323.0118.4990000
Totaal niet-vlottende verplichtingen 4,799.7824,740.9584,754.9334,419.2333,620.1123,380.3672,745.4382,266.9852,228.4031,747.384988.431,055.1321,084.4631,334.7591,476.125400.713437.572459.72766.08175.5140
Totaal passiva 6,385.4366,257.9836,005.465,670.174,641.8814,281.1533,554.4462,874.6562,764.9732,245.51,461.3421,558.1731,594.4081,787.5641,943.049693.213728.666704.658287.063290.30286.476
Eigen vermogen:
Preferente aandelen 0000000.3990.347000000.094000.3540000
Gewone aandelen 01.3381.3361.3321.3281.3241.31.2951.291.2821.2661.2561.241.2271.2051.0541.00110.0290.0290
Ingehouden winsten 04,179.6813,473.1922,976.5172,554.2952,199.2941,856.9511,505.2041,322.2241,158.4621,022.695770.256547.699363.461176.18384.0132.212-65.884176.121109.6760
Overige gereserveerde algehele resultaten -71.04-61.352-60.211-58.795-58.859-62.579-58.399-48.347-60.735-35.745-24.971-0.65-2.796-5.094-1.966-7.59-7.354-0.193-0.322-2.3720
Overige totale aandeelhoudersvermogen -868.957-4,859.431-4,422.242-3,082.521-2,939.998-2,214.753-1,966.346-1,057.14-945.174-222.512433.843805.502879.088945.838904.695429.579290.523265.098910.128649.88436.624
Totaal eigen vermogen van aandeelhouders -939.997-739.764-1,007.925-163.467-443.234-76.714-166.494401.012317.605901.4871,432.8331,576.3641,425.2311,305.4321,080.117507.056286.382200.021825.712757.21736.624
Totaal eigen vermogen -939.997-739.764-1,007.925-163.467-443.234-76.714-166.494401.012317.605901.4871,432.8331,576.3641,425.2311,305.4321,080.117507.056286.382200.021825.712757.21736.624
Totaal passiva en aandeelhoudersvermogen 5,445.4395,518.2194,997.5355,506.7034,198.6474,204.4393,387.9523,275.6683,082.5783,146.9872,894.1753,134.5373,019.6393,092.9963,023.1661,200.2691,015.048904.6791,112.7751,047.519123.1