NVR, Inc.

NYSE:NVR

9369.58 (USD) • At close September 13, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,215.4442,522.8392,573.4672,778.2671,140.304711.875666.794395.405424.326544.938865.5851,152.601480.3321,193.3921,250.151,147.643664.209556.119177.526367.365232.219142.845138.611137.70889.168.545.774.855.671.5
Kortetermijnbeleggingen 000000000000252.352177.244219.535000000000000000
Liquide middelen en kortetermijnbeleggingen 3,215.4442,522.8392,573.4672,778.2671,140.304711.875666.794395.405424.326544.938865.5851,152.601480.3321,193.3921,469.6851,147.643664.209556.119177.526367.365232.219142.845138.611137.70889.168.545.774.855.671.5
Nettovorderingen 2920.84218.55218.29918.27818.64120.02618.93711.48210.0219.5299.4216.7896.9487.99511.59410.85512.21340.56214.029.5510.8075.7456.672.21.53.42.97.94.7
Voorraad 1,950.151,788.2751,947.3661,709.0821,347.2881,253.111,246.1991,092.11,006.526869.486738.565678.131533.15431.329418.718400.57688.854733.616793.975588.54536.58436.674402.375334.681323.5288.6224171.7154.7109.5
Overige vlottende activa 372.514368.235365.441481.006512.34420.05321.69419.418319.553205.664210.641188.929252.352177.2440000000000000005
Totaal vlottende activa 5,194.5944,700.1914,904.8264,986.6543,018.2142,462.0032,307.2021,877.8181,761.8871,630.1091,824.322,029.0821,272.6231,808.9131,896.3981,559.8071,363.9181,301.9481,012.063969.925778.349590.326546.731479.059414.8358.6273.1249.4218.2190.7
Niet-vlottende activa:
Materiële vaste activa, netto 163.989586.731569.565457.721496.849402.687376.756384.747348.608300.865241.584194.00324.93720.47320.66126.41733.79241.59832.09926.32625.40623.06716.17815.86513.117.617.818.818.618.1
Goodwill 7.3477.3477.34741.580.4410.4410.4410.44142.02142.02142.0210.44148.92748.92748.927011.68611.686048.92748.92748.92748.9270000000
Immateriële activa 000-548.19700.6210.7762.1583.5414.9236.3068.77800048.9270.0960.2512.0616.3796.3796.3796.3797.47211.39.710.800111.9
Goodwill en immateriële activa 7.3477.3477.347-506.6170.44142.64242.7972.5993.9825.3646.7479.21948.92748.92748.92748.92711.78211.93612.06155.30655.30655.30655.3067.47211.39.710.800111.9
Langetermijnbeleggingen 330.642370.606361.851506.617541.06488.044398.7581.2511.7493.597.26815.62620.18222.371-160.24372.48800000000000000
Belastingvorderingen 148.005143.585132.894132.98115.731112.333111.953170.652161.805165.189162.378145.618155.881184.93200.34223.393211.808169.90197.51173.19173.98574.64251.2830000000
Overige niet-vlottende activa 757.18-147.487-142.008199.786-362.48-341.776-248.187206.876237.1246.218243.851211.294256.935174.447389.687172.204573.116948.4251,115.854653.219430.059438.947325.549338.864328.1338.5262.9233377.1244.9
Totaal niet-vlottende activa 1,407.163960.782929.649790.487791.601703.93682.077766.125753.244721.226661.828575.76506.862451.148499.372543.429830.4981,171.861,257.525808.042584.756591.962448.316362.201352.5365.8291.5251.8395.7374.9
Totaal activa 6,601.7575,660.9735,834.4755,777.1413,809.8153,165.9332,989.2792,643.9432,515.1312,351.3352,486.1482,604.8421,779.4852,260.0612,395.772,103.2362,194.4162,473.8082,269.5881,777.9671,363.1051,182.288995.047841.26767.3724.4564.6501.2613.9565.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 456.649395.412387.954402.587306.972288.573294.797283.611259.728230.419203.461184.132152.044128.749139.77155.127237.599289.72287.988226.951198.079161.691138.013117.82411310076.962.357.253.5
Kortlopende schulden -334.4410-417.463-240.75800000000090.33812.34444.53983.463153.552156.8169.72653.34139.257118.71153.488125.8165.8108.40.10.10
Belastingschulden 000000000000000000000000000000
Uitgestelde opbrengsten 334.441313.804417.463240.758000000000079.502194.869251.475225.178308.621177.041175.259142.215114.7810000000
Overige kortlopende verplichtingen 766.084123.43435.86440.671346.035332.871341.891337.2306.013290.676317.873236.984183.81237.052129.506169.062289.684450.204536.001325.177237.04215.977154.165237.273175.5138.394.985.390.781.6
Totaal kortlopende verplichtingen 1,222.733832.646823.814843.258653.007621.444636.688620.811565.741521.095521.334421.116335.854456.139361.122563.597862.2211,118.6541,289.426738.895663.718659.14525.67408.585414.3404.1280.2147.7148135.1
Langlopende verplichtingen:
Langetermijnschulden 913.0271,007.6741,590.821,590.051683.678597.681597.066596.455599.26599.23602.44603.5627.6099.843147.88165.85202.82203.08303204.077200115115120.167152.3154.5139.7201.5319.8301
Uitgestelde opbrengsten niet-vlottend 334.441313.804417.463240.758131.886138.246150.033122.236110.965106.755101.02299.68761.22300000000000000000
Uitgestelde belastingverplichtingen niet-vlottend -334.441-1,820.108-2,495.537-100.804-1,205.584-1,112.875-1,121.814-1,088.29-1,048.529-1,022.458-1,043.109-960.919-279.03700000000000000000
Overige niet-vlottende verplichtingen 101.2721,820.1082,495.537100.8041,205.5841,112.8751,121.8141,088.291,048.5291,022.4581,043.109960.919279.03753.705129.506000004.5194.9035.25965.0280.10.10.10-0.10
Totaal niet-vlottende verplichtingen 1,014.2991,321.4782,008.2831,830.809815.564735.927747.099718.691710.225705.985703.462703.24968.83263.548277.386165.85202.82203.08303204.077204.519119.903120.259185.195152.4154.6139.8201.5319.7301
Totaal passiva 2,237.0322,154.1242,832.0972,674.0671,468.5711,357.3711,383.7871,339.5021,275.9661,227.081,224.7961,124.365404.686519.687638.508729.4471,065.0411,321.7341,592.426942.972868.237779.043645.929593.78566.7558.7420349.2467.7436.1
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 0.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.2060.200000
Ingehouden winsten 13,365.02511,773.41410,047.8398,811.127,909.8727,031.3336,231.945,695.3765,270.1144,887.1874,605.5574,339.084,158.4924,029.0723,823.0673,630.8873,529.9953,196.042,608.6281,911.0691,387.865968.074636.604399.81241.6132.77647.121.64.3
Overige gereserveerde algehele resultaten 16.7116.7116.7116.7116.912-7.214-7.742-6.476-5.316-4.319-3.419-3.391-48.779-46.088-47.16-47.244-45.606-38.462-29.654-27.928-23.547-22.02-22.363-21.349-16-21.3-21.3-19.300
Overige totale aandeelhoudersvermogen -9,017.216-8,283.481-7,062.377-5,724.962-5,585.746-5,215.763-4,618.912-4,384.665-4,025.839-3,758.819-3,340.992-2,855.418-2,735.12-2,242.816-2,018.851-2,210.06-2,355.22-2,005.71-1,902.018-1,048.352-869.656-543.015-265.329-131.187-25.254.389.9124.2124.6125.2
Totaal eigen vermogen van aandeelhouders 4,364.7253,506.8493,002.3783,103.0742,341.2441,808.5621,605.4921,304.4411,239.1651,124.2551,261.3521,480.4771,374.7991,740.3741,757.2621,373.7891,129.3751,152.074677.162834.995494.868403.245349.118247.48200.6165.7144.6152146.2129.5
Totaal eigen vermogen 4,364.7253,506.8493,002.3783,103.0742,341.2441,808.5621,605.4921,304.4411,239.1651,124.2551,261.3521,480.4771,374.7991,740.3741,757.2621,373.7891,129.3751,152.074677.162834.995494.868403.245349.118247.48200.6165.7144.6152146.2129.5
Totaal passiva en aandeelhoudersvermogen 6,601.7575,660.9735,834.4755,777.1413,809.8153,165.9332,989.2792,643.9432,515.1312,351.3352,486.1482,604.8421,779.4852,260.0612,395.772,103.2362,194.4162,473.8082,269.5881,777.9671,363.1051,182.288995.047841.26767.3724.4564.6501.2613.9565.6