Nordson Corporation

NASDAQ:NDSN

209.73 (USD) • At close December 20, 2024
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 24.428115.679163.457299.972208.293151.16495.67890.38367.23950.26842.31442.37541.51837.40842.32918.78111.75531.13648.85911.26960.2516.9455.8727.8810.785166.81.59.20.44.618.17.4107.53.416.142.118.119.3
Kortetermijnbeleggingen 91.524000000000000.27907.840.0430.0050.0090.0090.2150.3280.0270.0250.0620.03000.20.31.26.5000000000
Liquide middelen en kortetermijnbeleggingen 115.952115.679163.457299.972208.293151.16495.67890.38367.23950.26842.31442.37541.51837.40850.16918.82411.7631.14548.86811.48460.5796.9725.8977.9430.815166.81.59.20.44.618.17.4107.53.416.142.118.119.3
Nettovorderingen 594.663590.886537.313489.389471.873530.765491.423505.087428.56389.55365.844308.707324.563254.31243.79191.201224.813229.993190.459179.231173.852151.74135.662167.822191.371170.5165.3163.7159.6146.8126.6112.6106.585.381.869.648.941.737.327.7
Voorraad 476.935454.775383.398327.195277.033283.399264.477264.266220.361225.672210.871198.401169.585141.912117.72197.636118.034119.6583.68881.86885.3378.55787.1139.186134.922119.5124.4122.1118.4110.293.684.787.778.56868.741.828.828.121.4
Overige vlottende activa 87.48267.97297.60696.56463.41391.73432.52428.63629.41546.10153.65451.08750.95743.32739.35139.0129.70629.13624.28942.25543.3540.10145.91447.22642.1335.33231.530.528.525.526.330.220.116.614.51313.813.410
Totaal vlottende activa 1,275.0321,229.311,132.9711,164.8381,020.6121,011.195884.102888.372745.575711.591672.683600.57586.623476.957451.031346.671384.313409.924347.304311.716363.111277.37274.573362.177369.238341.3328.5318.8317.7285.9250.3241.7231.8193.9173.9156.2119.8126.496.978.4
Niet-vlottende activa:
Materiële vaste activa, netto 0499.022353.442355.565358.618398.895386.666346.411273.129249.94224.439200.979174.931130.883116.395118.291133.843132.917105.415110.531111.607115.255118.773133.332126.91128.6101.2101.710799.588.778.777.474.474.764.240.135.134.532.8
Goodwill 494.2792,784.2011,804.6931,713.1481,713.3541,614.7391,608.0181,589.211,107.1371,082.3751,052.537939.211812.817547.826347.326341.762571.933571.976331.915331.3560328.572327.89733588.4078.75559.828.80000000000
Immateriële activa 129.6672.744329.402357.367407.586445.575499.741547.18260.302277.426291.31269.073227.891120.69942.92742.14453.87466.7668.806346.813348.99343.935344.18343.10693.763101.484.360.465.331.829.927.331.623.917.913.31.71.61.61.2
Goodwill en immateriële activa 623.8793,456.9451,804.6931,713.1481,713.3542,060.3142,107.7592,136.391,367.4391,359.8011,343.8471,208.2841,040.708668.525390.253383.906625.807638.742340.721346.813348.99343.935344.18343.10693.763101.484.360.465.331.829.927.331.623.917.913.31.71.61.61.2
Langetermijnbeleggingen 00-10.447-11.381-9.831-2,071.575-2,117.539-2,147.41-1,378.12-1,365.506-1,350.406-29.354-29.929-35.693-33.576-402.025-22.4550000000.0380000000000000000
Belastingvorderingen 0010.44711.3819.83111.2619.7811.0210.6815.7056.55929.35429.92935.69333.57618.11922.4550.8619.9611.282011.2388.1483.7260000000000000000
Overige niet-vlottende activa 31.22166.493529.269557.41582.0722,106.3572,150.2442,179.7561,403.6611,398.9131,383.00832.45627.25328.08528.675425.71222.70629.39619.48918.18415.67919.00818.79820.07420.12920.524.922.120.517.51210.35.54.731.91.31.110.8
Totaal niet-vlottende activa 655.14,022.462,687.4042,626.1232,654.0442,505.2522,536.912,526.1671,676.791,648.8531,607.4471,441.7191,242.892827.493535.323544.003782.356801.916475.586476.81476.276489.436489.899500.276240.802250.5210.4184.2192.8148.8130.6116.3114.510395.679.443.137.837.134.8
Totaal activa 892.055,251.773,820.3753,790.9613,674.6563,516.4473,421.0123,414.5392,422.3652,360.4442,280.132,042.2891,829.5151,304.45986.354890.6741,166.6691,211.84822.89788.526839.387766.806764.472862.453610.04591.8538.9503510.5434.7380.9358346.3296.9269.5235.6162.9164.2134113.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 25.587106.3299.27691.68970.94985.13983.5986.01675.1368.22968.562.12362.86946.38140.26233.36842.91651.93938.6851.558.7447.97648.80955.35774.15135.84933.837.73528.326.922.219.11820.317.80000
Kortlopende schulden 103.928137.433413.18257.20960.945174.133.289331.444.67828.834122.0419.957110.6179.82820.1849.615220.945329.40474.83776.54831.97171.217120.813212.97499.23114998.580.7102.849.732.625.449.93947.447.411.31014.45.9
Belastingschulden 060.25337.20229.73121.18724.20727.37929.97328.71734.8222.95320.09238.1215.28324.33612.3476.14115.01210.95110.2902.6664.36200000000000000000
Uitgestelde opbrengsten 093.38992.58477.86842.32341.13138.99734.65426.17522.88425.57828.34120.8949.375124.233108.6796.473102.995106.842102.77791.24483.57473.65171.4040000000000000000
Overige kortlopende verplichtingen -103.928184.694191.959188.897167.685153.049167.025165.703156.843136.009131.797104.958111.184101.294107.132101.092103.994113.559116.857111.736105.03889.80378.66387.32279.62667.05174.861.369.477.463.868.757.749.940.137.144.535.823.321.6
Totaal kortlopende verplichtingen 25.587582.089834.203445.394363.089477.626350.28647.746331.543290.776370.868235.471343.684182.161191.914156.422373.996509.914241.325250.074195.749211.662252.647355.653253.008251.9207.1179.7207.2155.4123.3116.3126.7106.9107.8102.355.845.837.727.5
Langlopende verplichtingen:
Langetermijnschulden 01,725.476447.272894.3381,187.7391,084.9171,294.2071,266.09952.4851,102.341693.886648.27538.986318.66199.316155.24274.64829.87852.201106.351152.479176.725174.895191.77360.86670.566.520.617.119.322.126.825.525.520.113.212.812.611.7
Uitgestelde opbrengsten niet-vlottend 00-110.781-88.467-66.995-83.564-100.704-134.09-61.836-89.77-87.092-79.977-26.159-17.415-9.7450000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0210.637110.78188.46766.99583.564100.704134.0961.83689.7787.09279.97726.15917.4159.74502.250000.66600000000000.52.61.81.732.82.11.61.4
Overige niet-vlottende verplichtingen 52.039135.508133.744203.632297.842289.295225.08211.12223.116217.541223.487190.708250.916214.89180.307209.034141.663140.93198.836101.18987.1678.3168.0451.30149.00952.546.536.337.430.925.922.712.5104.13.322.30.30.2
Totaal niet-vlottende verplichtingen 52.0392,071.621691.7971,186.4371,552.5761,457.7761,619.9911,611.31,239.2191,409.6521,004.465918.955816.061550.966289.368364.276218.561170.809151.037207.54240.305255.035242.935243.074109.809118.5117102.8584845.245.341.937.331.326.41817.214.513.3
Totaal passiva 3,068.7742,653.711,5261,631.8311,915.6651,935.4021,970.2712,259.0461,570.7621,700.4281,375.3331,154.4261,159.745733.127481.282520.698592.557680.723392.362457.614436.054466.697495.582598.727362.817370.4324.1282.5265.2203.4168.5161.6168.6144.2139.1128.773.86352.240.8
Eigen vermogen:
Preferente aandelen 00000000000000494.165484.387000000000000000000000000
Gewone aandelen 12.25312.25312.25312.25312.25312.25312.25312.25312.25312.25312.25312.25312.25312.2530012.25312.25312.25312.25312.25312.25312.25312.25312.25312.312.312.312.312.312.3000000000
Ingehouden winsten 03,989.3533,652.2163,265.0272,908.7382,747.652,488.3752,164.5971,932.6351,717.2281,560.9661,362.5841,181.245990.221797.695656.086840.888748.229681.018613.58558.62517.414502.631499.57493.273455.5423.9417.6381.4341.2300.2264237205.7179.4156.8128.7102.78373.7
Overige gereserveerde algehele resultaten 0-196.441-207.782-175.835-226.118-231.881-179.314-134.435-168.247-144.686-103.199-57.38-104.226-80.012-66.306-55.47-40.7958.2-12.518-28.688-18.449-21.316-27.566-18.792-12.466-7.8-10-2.81419.617000000000
Overige totale aandeelhoudersvermogen 802.171-1,207.105-1,162.312-942.315-935.882-946.977-870.573-886.922-925.038-924.779-565.223-429.594-419.502-351.139-238.57-242.893-238.234-237.565-250.225-266.233-149.091-208.242-218.428-229.305-245.837-238.489-211.4-206.6-162.4-141.8-87.8-67.6-59.3-53-49-49.9-39.6-1.5-1.2-1.3
Totaal eigen vermogen van aandeelhouders 814.4242,598.062,294.3752,159.131,758.9911,581.0451,450.7411,155.493851.603660.016904.797887.863669.77571.323505.072369.976574.112531.117430.528330.912403.333300.109268.89263.726247.223221.4214.8220.5245.3231.3212.4196.4177.7152.7130.4106.989.1101.281.872.4
Totaal eigen vermogen 814.4242,598.062,294.3752,159.131,758.9911,581.0451,450.7411,155.493851.603660.016904.797887.863669.77571.323505.072369.976574.112531.117430.528330.912403.333300.109268.89263.726247.223221.4214.8220.5245.3231.3212.4196.4177.7152.7130.4106.989.1101.281.872.4
Totaal passiva en aandeelhoudersvermogen 6,000.9665,251.773,820.3753,790.9613,674.6563,516.4473,421.0123,414.5392,422.3652,360.4442,280.132,042.2891,829.5151,304.45986.354890.6741,166.6691,211.84822.89788.526839.387766.806764.472862.453610.04591.8538.9503510.5434.7380.9358346.3296.9269.5235.6162.9164.2134113.2