Perrigo Company plc

NYSE:PRGO

25.41 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 751.3600.71,864.9641.5354.3551.1678.7622.3785.6799.5779.9602.489310.10497.568316.133318.60430.30519.01816.707161.25293.82776.82411.0167.0551.71.514.40.20.32.20.20.5
Kortetermijnbeleggingen 0.10.10.42.56.69.41738.212.75.95.9000.5570.0030.5649.1126.73317.76110.448000089.10000000
Liquide middelen en kortetermijnbeleggingen 751.3600.71,864.9641.5354.3551.1678.7622.3798.3805.4779.9602.489310.10498.125316.136319.16479.41545.75134.468171.793.82776.82411.0167.05590.81.514.40.20.32.20.20.5
Nettovorderingen 739.6697.1652.91,054.21,243.21,073.11,130.81,1761,282.1935.1658573.629478.221372.364334.736350.272282.045240.13210.30886.0487.01882.5696.82888.217197.474.693.491.48576.470.550.5
Voorraad 1,140.91,150.31,020.21,200.2967.3878806.9795838.9631.6703.9547.455505.576448.871384.794399.972295.114302.941272.98174.253160.326155.611161.112126.9350181.5161.5157163.5135.8128.4106.5
Overige vlottende activa 201.1271.8321.9237.6192.1400203.2212141.31164872.34883.3927.21451.6999.6292.74668.35691.05141.23638.02626.75616.20746.43894.4114.913.11112.9118.76.1
Totaal vlottende activa 2,832.92,719.93,859.93,133.52,756.92,902.22,819.62,805.33,182.92,550.92,236.91,795.9211,377.2931,381.2931,152.9641,156.859719.06657.178608.807473.229379.197341.751313.137268.645382.6372.5282.4259.6261.7225.4207.8163.6
Niet-vlottende activa:
Materiële vaste activa, netto 1,1001,143.41,0311,1821,032.7829.1833.1870.1932.4779.9681.5578.35507.308448.916354.317356.895331.072319.358323.801227.641218.778211.044212.087193.58199.7190.6235.9239246.2216.3171.3117.1
Goodwill 3,529.13,5493,004.73,783.94,185.54,029.14,175.44,049.44,971.93,474.11,089.3820.122777.7622.745268.819282.417196.218152.183000047.195000000000
Immateriële activa 2,986.13,230.22,146.12,974.32,921.22,858.93,380.83,511.310,368.76,856.71,242.4729.2531,212.475587.094214.207229.327156.587132.426298.2635.91935.91935.919018.19919.320.740.84345.130.231.70
Goodwill en immateriële activa 6,515.26,779.25,150.86,758.27,106.76,8887,556.27,560.715,340.610,330.82,331.71,549.3751,212.4751,209.839483.026511.744352.805284.609298.2635.91935.91935.91947.19518.19919.320.740.84345.130.231.70
Langetermijnbeleggingen 92.3209.469.578.520.119.511.22,3505,362.4081.266.700000000000000000000
Belastingvorderingen 25.87.16.544.25.41.210.472.139.623.620.313.44410.531074.43874.73754.90843.14326.9648.1373.96800000000000
Overige niet-vlottende activa 242.9158.3308292379.6343.4398.3211.9-5,137.3195-0.620.25781.61452.688471.61474.842467.309446.336447.14414.1686.1085.0733.4935.6414.312.19.37.82.73.12.936.2
Totaal niet-vlottende activa 7,976.28,297.46,565.88,354.98,544.58,081.28,809.211,064.816,537.711,329.33,114.12,228.1261,811.9281,711.4431,383.3911,418.2181,206.0941,093.4461,096.169285.865264.773252.036262.775217.419233.3223.4286289.8294249.6205.9153.3
Totaal activa 10,809.111,017.310,425.711,488.411,301.410,983.411,628.813,870.119,720.613,880.25,350.84,024.0473,189.2213,092.7362,536.3552,575.0771,925.1541,750.6241,704.976759.094643.97593.787575.912486.064615.9595.9568.4549.4555.7475413.7316.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 477.7537.3411.2543.8520.2474.9450.2471.7747.5364.3382317.341343.278258.493271.537253.307164.318179.74142.78988.85872.18674.44984.38563.17268.278.863.856.75752.956.341.9
Kortlopende schulden 440.636.2603.837.83.4190.270.4572.864.6143.746.240.0917.7740917.18120.09527.15720.08125.3459.5288.988.33812.7598.88475.40.30.30.30.30.80.9
Belastingschulden 42.114.416.5932.296.5116.132.452.617.411.612.90510.5513.0483.33400000000000000000
Uitgestelde opbrengsten -440.67.15400000000321.30240.894233.784192.223135.119142.136117.457130.08247.71336.5932.72127.917000000000
Overige kortlopende verplichtingen 1,108.653332.9800.4812.2872.3915.4791.8881.6566.7-0.1295.34.0935.42819.6277.1446.22654.15342.32641.38748.78639.42646.69841.8645857.348.635.634.332.328.829.7
Totaal kortlopende verplichtingen 1,586.31,113.61,587.91,3821,335.81,537.41,4361,836.31,693.71,074.7749.4652.731606.035906.705500.561485.661379.837371.431340.542187.486166.542154.934171.759113.92133.2141.5112.792.691.685.585.972.5
Langlopende verplichtingen:
Langetermijnschulden 3,632.84,070.42,916.73,528.33,365.83,052.23,270.85,224.55,246.93,090.51,927.81,329.235875935875895.095650.762621.717656.1280000013581.61.548.899.172.975.246
Uitgestelde opbrengsten niet-vlottend 0368.2000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 262.3368.2239.3279.3280.6282.3321.9389.91,745.1727.9127.824.12610.60155.333139.916139.212103.77581.92374.37929.60625.48420.31317.41919.46214.727.328.226.824.42117.614.7
Overige niet-vlottende verplichtingen 559.8254.8530.1643.7515.1443.4429.5461.8372.1293.4213.2165.31166.598107.04398.957121.39436.31134.80943.095.773.522.3960.8590000.1000.100
Totaal niet-vlottende verplichtingen 4,454.95,061.63,686.14,451.34,161.53,777.94,022.26,076.27,364.14,111.82,268.81,518.6711,052.1991,097.3761,113.8731,155.701790.848738.449773.59735.37629.00422.70918.27819.462149.7108.929.875.6123.59492.860.7
Totaal passiva 6,041.26,175.25,2745,833.35,497.35,315.35,458.27,912.59,057.85,186.53,018.22,171.4021,658.2342,004.0811,614.4341,641.3621,170.6851,109.881,114.139222.862195.546177.643190.037133.382282.9250.4142.5168.2215.1179.5178.7133.2
Eigen vermogen:
Preferente aandelen 135.50000000000000000000000000000000
Gewone aandelen 6,837.56,936.77,043.27,118.27,359.97,421.77,892.98,1358,621.96,678.2538.50504.700000534.518104.1688.9989.222108.952102.751020000000
Ingehouden winsten -2,080.3-2,067.6-1,927-1,858.1-1,695.5-1,838.3-1,975.5-2,095.11,938.31,875.11,715.91,306.925934.333619.303419.086289.994178.374121.05364.776429.694358.263327.157276.96249.304230228.5280.1235.1195.3150.896.10
Overige gereserveerde algehele resultaten 10.7-2735.5395139.484.6253.1-81.8102.4139.67739.404127.0539.04850.592155.18456.6763.593-8.4572.3781.171-0.235-0.037-0.2940.30000000
Overige totale aandeelhoudersvermogen -135.50000000000504.708-37.039428.457452.243488.537519.419516.0980000000.1116.6145.8146.1145.3144.7138.9183.7
Totaal eigen vermogen van aandeelhouders 4,767.94,842.15,151.75,655.15,803.85,6686,170.55,958.110,662.68,692.92,331.41,851.0371,529.0441,086.808921.921933.715754.469640.744590.837536.232448.424416.144385.875351.76332.4345.1425.9381.2340.6295.5235183.7
Totaal eigen vermogen 4,767.94,842.15,151.75,655.15,804.15,668.16,170.65,957.610,662.88,693.72,332.61,852.6451,530.9871,088.655921.921933.715754.469640.744590.837536.232448.424416.144385.875352.682333345.5425.9381.2340.6295.5235183.7
Totaal passiva en aandeelhoudersvermogen 10,809.111,017.310,425.711,488.411,301.410,983.411,628.813,870.119,720.613,880.25,350.84,024.0473,189.2213,092.7362,536.3552,575.0771,925.1541,750.6241,704.976759.094643.97593.787575.912486.064615.9595.9568.4549.4555.7475413.7316.9