Mettler-Toledo International Inc.

NYSE:MTD

1443.03 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 788.778872.502768.985602.739561.109512.611375.972384.37352.82338.241306.094290.847269.493232.148172.593202.778178.507157.532108.902107.95795.838100.42172.26470.11948.137.6-23.9
Afschrijvingen & Amortisatie 121.164113.023108.05798.70988.68184.69176.12968.79564.03862.80259.30454.77849.49744.52841.47839.5438.34637.57237.41338.92436.8134.72436.97233.25435.332.231.8
Uitgestelde Inkomstenbelasting -13.37326.5170.563-12.784-4.635.89969.2371.8787.25813.0338.8165.425.0184.0583.7664.13722.2347.365000001.487-1.6-1.20
Aandelen Gebaseerde Vergoedingen 17.92819.66119.59518.68718.28517.57916.58215.30614.22313.61112.63913.18512.2712.38511.367000000000000
Verandering in Werkkapitaal 51.377-172.6364.39519.747-60.128-34.542-18.444-17.9611.303-5.429-39.576-28.616-42.262-19.3225.372-26.421-8.736-6.805-0.27518.543-15.43-22.685-8.719-20.54911.5-4.719.4
Vorderingen 50.296-83.417-66.468-4.495-31.408-19.54-38.985-52.1511.6257.492-28.995-8.76-53.964-55.02537.071000000000000
Voorraden 71.021-43.392-118.718-3.836-4.603-21.195-13.68-12.431-18.785-9.302-8.48446.831-20.281-40.4177.817-0.398-13.52211.379-5.1714.4498.7737.3783.531-17.274-9.5-6-2.7
Crediteuren -40.554-13.82693.973-17.803-12.22133.67111.8859.6331.6986.2980.295-27.88127.55131.696-9.416000000000000
Overig Werkkapitaal -29.386-32.00195.60845.881-11.896-27.47822.33636.98816.765-9.917-2.392-38.8064.43244.424-30.1-26.0234.786-18.1844.89614.094-24.203-30.063-12.25-3.275211.322.1
Overige Niet-Contante Posten 179.493386.3427.23-2.3990.133-21.233-3.151-9.31-12.774-3.346-1.349-7.91-13.136-5.518-1.9717.089-1.431-3.09731.0190.5690.0132.951.0550.403-0.10.128.3
Kasstroom uit Operationele Activiteiten 965.874859.067908.825724.699603.45565.005516.325443.078426.868418.912345.928327.704280.88268.279232.605223.764228.217191.566177.059165.993117.231115.41101.57284.71491.37255.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -105.323-121.241-107.58-92.494-97.341-142.726-127.426-123.957-82.506-89.388-82.349-95.588-98.5-73.943-60.041-61.008-47.545-34.329-32.498-27.882-27.152-33.157-33.228-29.304-47.7-57.5-102.8
Netto Overnames -5.811-37.951-220.862-6.242-2.004-5.527-108.445-111.381-13.779-5.784-2.661-2.098-35.373-13.064-14.62-0.999-0.106-0.79-4.087-2.287-4.45-21.305-165.471-26.377000
Aankoop van Beleggingen 00000000000000000000000000-9.2
Verkoop/verval van Beleggingen 000000000000000000000000000
Overige Investeringsactiviteiten -20.5619.79714.334-1.6240.2629.30918.5273.882-4.4660.7280.2110.4261.5829.9922.08113.3076.2634.1811.4231.8192.0921.9953.5181.46810.221.616
Kasstroom uit Investeringsactiviteiten -131.694-139.395-314.108-100.36-99.083-138.944-217.344-231.456-100.751-94.444-84.799-97.26-132.291-77.015-72.58-48.7-41.388-30.938-35.162-28.35-29.51-52.467-195.181-54.213-37.5-35.9-96
Financieringsactiviteiten:
Schuldaflossingen -2,097.023-1,947.398-2,035.546-1,483.869-1,176.784-876.324-1,185.172-594.178-594.477-585.867-531.045-595.682-647.694-329.536-424.798000000000000
Uitgifte van Gewone Aandelen 19.23413.75620.46326.71947.58124.628.64925.47129.5560000005.22821.21730.45327.00725.5673.5773.53216.846.4732.60.597.6
Terugkoop van Gewone Aandelen -900-1,099.998-999.998-774.998-774.999-474.999-399.997-499.992-494.966-414-294.976-278.672-204.578-239.998-5.988-229.671-324.87-264.64-161.832-102.397000000-0.7
Uitgekeerde Dividenden 000000000000000000000000000
Overige Financieringsactiviteiten 2,137.4382,317.6012,444.9951,514.9591,474.415963.3011,265.639948.245782.411651.759574.905507.957491.803737.457273.34345.29639.672-103.277252.563-40.604-80.297-61.18483.386-32.378-59.8-39.3-89
Kasstroom uit Financieringsactiviteiten -859.585-716.039-590.549-743.908-477.368-388.022-319.53-145.925-307.032-348.108-251.116-366.397-360.469167.923-157.443-179.147-263.981-337.464117.738-117.434-76.72-57.652100.226-25.905-57.2-38.87.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.754-6.2310.1426.0382.676-8.61610.562-5.91-5.461-2.9710.1592.054-0.0963.3594.3760.9347.1053.527-2.2331.8512.688-1.585-0.621-0.05-0.70.4-4.7
Netto Kasstroomverandering -26.159-2.5984.31-113.53129.67529.423-9.98759.78713.624-26.61110.172-133.899-211.976362.5466.958-3.149-70.047-173.309257.40222.0613.6893.7065.9964.546-4-2.3-37.2
Kaspositie aan het Einde van de Periode 69.80795.96698.56494.254207.785178.11148.687158.67498.88785.263111.874101.702235.601447.57785.03178.07381.222151.269324.57867.17645.11631.42727.72121.72517.221.323.5