PACCAR Inc

NASDAQ:PCAR

103.35 (USD) • At close November 1, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,181.76,158.93,428.33,539.64,175.13,435.92,364.71,915.72,016.41,737.61,750.11,272.42,106.72,040.81,9121,955.21,858.11,852.51,698.91,614.71,347773655.2536.7528.4432.4337.9222.9184311.3223.2250.4294.9329.3457.1360.8334.321.919.6
Kortetermijnbeleggingen 1,477.61,614.21,559.41,4291,162.11,020.41,367.11,140.91,448.11,2721,267.51,192.7910.1450.5219.5175.4778.5821.7591.4604.8377.1535.3406.9394.7530.700000000000000
Liquide middelen en kortetermijnbeleggingen 8,659.36,158.94,8134,8345,169.44,299.63,621.92,922.63,3782,937.12,925.22,395.93,016.82,491.32,131.52,130.62,636.62,674.22,290.32,219.51,724.11,308.31,062.1931.41,059.1432.4337.9222.9184311.3223.2250.4294.9329.3457.1360.8334.321.919.6
Nettovorderingen 2,198.11,919.81,575.11,197.51,306.11,314.41,127.9862.28791,047.11,019.6902.1977.8610.4554.78,735.19,595.49,207.77,844.76,644.85,4745,063.94,836.25,435.35,010.44,168.63,494.23,297.42,8912,749.52,287.21,647.91361,709.71,782.6194.5183.8469.3124.4
Voorraad 2,576.72,198.81,768.31,221.91,153.21,184.7928.4727.8796.5925.7813.6782.4710.4534632.1658.1628.3693.7495.5495.6334.5310.6267.8303.1384.5511.1393.5406.5239.5274.5193.7151151.2191.6225.5231192.6101.3119
Overige vlottende activa 680.6682732.9515.6388364.7404.4225.6245.7290.5308.1331.72,900.72,432.52,056211.7205.6212.8214.9113.385112.9146.9117.7122.1503443.7378.2497.465.157285.5275.9220169.564.656.942.7401.2
Totaal vlottende activa 13,434.110,277.58,156.47,253.47,628.76,798.75,678.24,512.65,053.54,909.94,758.44,080.44,588.93,576.93,242.811,735.513,065.912,788.410,845.49,473.27,617.66,795.76,3136,787.56,576.15,615.14,669.34,3053,811.93,400.42,761.12,334.88582,450.62,634.7850.9767.6635.2664.2
Niet-vlottende activa:
Materiële vaste activa, netto 6,425.43,468.45,726.45,231.94,6614,284.14,559.73,931.53,801.73,791.64,3373,751.93,182.42,7792,894.93,742.93,450.52,798.52,349.91,037.8893.4818.4828.8882.6875.3893721.8777.5422.3423.7392.3305.2272.2273.3260.3267.3241.9199.3203.7
Goodwill 000000000000000000000000000000000000000
Immateriële activa 00000000000000000000347.1222.9145.20000000000000000
Goodwill en immateriële activa -590.9-250-12,023.9-11,939-12,284-11,061-9,813.4-9,145.2000000000000347.1222.9145.20000000000000000
Langetermijnbeleggingen 7,181.717,179.611,92411,801.812,131.810,926.29,697.28,951.10000000000000000000000000000000
Belastingvorderingen 590.925099.9137.2152.2134.8116.2194.10000000000000000000000000000000
Overige niet-vlottende activa 13,782.22,35015,418.915,799.816,071.414,399.613,202.312,194.812,254.611,917.311,630.110,795.59,401.47,878.28,431.3771.4711.8520.5520.11,7171,081.5865.5626.9600.8481.6286.7208.3216.3156.3104.1137.8169.31,607.4182.3172.11,713.3290.5245189.6
Totaal niet-vlottende activa 27,389.322,99821,145.321,031.720,732.418,683.717,76216,126.316,056.315,708.915,967.114,547.412,583.810,657.211,326.24,514.34,162.33,3192,8702,754.82,3221,906.81,600.91,483.41,356.91,179.7930.1993.8578.6527.8530.1474.51,879.6455.6432.41,980.6532.4444.3393.3
Totaal activa 40,823.433,275.529,301.728,285.128,361.125,482.423,440.220,638.921,109.820,618.820,725.518,627.817,172.714,234.114,56916,249.817,228.216,107.413,715.412,2289,939.68,702.57,913.98,270.97,9336,794.85,599.45,298.84,390.53,928.23,291.22,809.32,737.62,906.23,067.12,831.51,3001,079.51,057.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,015.87,185.66,217.65,601.16,013.15,710.95,270.44,056.24,331.94,341.34,3023,651.33,846.72,634.12,442.5867.11,218.21,454.82,003.81,943.21,461.21,275.21,110.41,189.91,374.41,377.51,123.4999.5629.2690.9507.8512.4454.9468.1516.10000
Kortlopende schulden 5,068.93,265.53,025.13,113.53,797.23,256.82,723.72,242.52,620.42,5061503,3253,673.62,149.92,695.63,576.24,106.84,222.68.62,510.42,270.82,047.52,020.72,342.82,183.51,661.61,101.7347.4952.4687.7696580.4569.6562.8538.208.76.43.6
Belastingschulden 000000000000000000000000000000000000000
Uitgestelde opbrengsten 142.67,185.6-4,398.4-4,355.1-4,640.2275166.31,072.6242970.9261.8903.5-5,565.8-1,468.201,174.41,176.61,028.9000000000000000000000
Overige kortlopende verplichtingen -5,211.5-10,451.11,373.31,241.6843-3,531.8-2,890-3,315.1-2,862.4-3,476.9-261.8-4,228.51,892.2-681.7-2,695.636.3367.1497338.7347.8140.171.419.2101.6204.2181.4161.289.7128.7101.957.116.28.37.8116.30419.7302.4299.5
Totaal kortlopende verplichtingen 9,015.87,185.66,217.65,601.16,013.15,710.95,270.44,056.24,331.94,341.34,4523,651.33,846.72,634.12,442.55,6546,868.77,203.32,351.14,801.43,872.13,394.13,150.33,634.33,762.13,220.52,386.31,436.61,710.31,480.51,260.91,1091,032.81,038.71,170.61,168428.4308.8303.1
Langlopende verplichtingen:
Langetermijnschulden 9,308.212,922.87,735.88,197.28,012.87,536.17,494.76,232.77,018.56,695.57,101.2150150150172.33,908.63,7693,057.46,246.32,314.41,556.81,551.71,547.41,654.91,474.51,311.21,334.32,126.91,160.31,011720.8498.6501.2655.2702568.238.912.212.1
Uitgestelde opbrengsten niet-vlottend -10,010.2683.2329.1457.4587.3842.41,3391,072.61,047.4970.91,093.8903.5712563.8547.2470.800000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 702624.4590.4854.6790.2704.9773.7934.9889.1909.2973.3940942.8713.8734.81,369.71,038913806.5823.6703.9639.6267.3220.6190.1162.5154.9152.1150.6143.5129.9163.3171.3193.2187.2191.1031.627.7
Overige niet-vlottende verplichtingen 15,928.8-1,307.62,991.42,759.73,251.62,095.2511.91,564.9882.5948.7470.97,136.16,156.84,814.65,568.50539.4477.5410.4526.2560.4516.4696.3512395.7336.4226.1225.2118.185.872.100-0.10031.4-0.10
Totaal niet-vlottende verplichtingen 15,928.812,922.811,646.712,268.912,641.911,178.610,119.39,805.19,837.59,524.39,639.29,129.67,961.66,242.27,022.85,749.15,346.44,447.97,463.23,664.22,821.12,707.72,5112,387.52,060.31,810.11,715.32,504.21,4291,240.3922.8661.9672.5848.3889.2759.370.343.739.8
Totaal passiva 24,944.620,108.417,864.317,87018,65516,889.515,389.713,861.314,169.413,865.614,091.212,780.911,808.38,876.39,465.311,403.112,215.111,651.29,814.38,465.66,693.26,101.85,661.36,021.85,822.45,030.64,101.63,940.83,139.32,720.82,183.71,770.91,705.31,8872,059.81,927.3498.7352.5342.9
Eigen vermogen:
Preferente aandelen 792.400000000000000000000000000000000000000
Gewone aandelen 523.3522347.3346.6346.3346.6351.8350.7351.3355.2354.3353.4356.8365.3364.4363.1368.4248.5169.4173.9175.1115.979.278.878.300000000000000
Ingehouden winsten 15,780.313,402.411,869.211,005.210,398.59,275.48,369.17,484.97,536.86,863.86,165.15,596.45,174.54,846.14,640.54,724.74,260.64,026.13,471.52,826.92,399.22,113.31,916.51,854.11,580.91,185.7940.8757.7653.8556.5468.6741.2720702673518.4626.7569.9542.3
Overige gereserveerde algehele resultaten -693.9-953.4-921.1-1,050.3-1,100.1-1,098.5-793.6-1,128.1-1,017-579.88.7-159.5-21941.336.2-269.8408.1156.2154.7311.1147.9-174.3-295.4-221-175.5-675.3-549.4-528.4-370-365.5000000000
Overige totale aandeelhoudersvermogen -523.3196.1142113.661.469.4123.270.169.3114106.256.652.1105.162.628.7-2425.4105.5450.5524.2545.8552.3537.2626.91,253.81,106.41,128.7967.4983.5638.9297.2312.3317.2334.3385.8174.6157.1172.3
Totaal eigen vermogen van aandeelhouders 15,878.813,167.111,437.410,415.19,706.18,592.98,050.56,777.66,940.46,753.26,634.35,846.95,364.45,357.85,103.74,846.75,013.14,456.23,901.13,762.43,246.42,600.72,252.62,249.12,110.61,764.21,497.81,3581,251.21,174.51,107.51,038.41,032.31,019.21,007.3904.2801.3727714.6
Totaal eigen vermogen 15,878.813,167.111,437.410,415.19,706.18,592.98,050.56,777.66,940.46,753.26,634.35,846.95,364.45,357.85,103.74,846.75,013.14,456.23,901.13,762.43,246.42,600.72,252.62,249.12,110.61,764.21,497.81,3581,251.21,207.41,107.51,038.41,032.31,019.21,007.3904.2801.3727714.6
Totaal passiva en aandeelhoudersvermogen 40,823.433,275.529,301.728,285.128,361.125,482.423,440.220,638.921,109.820,618.820,725.518,627.817,172.714,234.114,56916,249.817,228.216,107.413,715.412,2289,939.68,702.57,913.98,270.97,9336,794.85,599.45,298.84,390.53,928.23,291.22,809.32,737.62,906.23,067.12,831.51,3001,079.51,057.5