Robert Half International Inc.

NYSE:RHI

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 731.74658.626619.001574.426270.478276.579294.753260.201217.733287.119275.764287.635279.336315.137365.794344.896310447.479458.358436.809376.523316.927346.768239.192151.1166.1131.380.241.32.61.80.60.81.23.135.836.754.50
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 731.74658.626619.001574.426270.478276.579294.753260.201217.733287.119275.764287.635279.336315.137365.794344.896310447.479458.358436.809376.523316.927346.768239.192151.1166.1131.380.241.32.61.80.60.81.23.135.836.754.50
Nettovorderingen 860.8721,018.287984.691714.163832.797794.446732.405703.228704.64657.676551.905512.852493.327423.175362.392484.808593.169531.824451.26391.641242.348223.396272.886390.369309.3240.7186.9125.4856040.227.426.232.635.625.218.48.20
Voorraad 0558.236609.20900311.708292.3260350.7840262.2720-145.437-141.461-142.805-131.3855.52255.066000000000000000000000
Overige vlottende activa 704.527608.199664.855595.666525.574402.585404.711320.805268.78378.488344.859264.198234.015233.548194.448193.335100.947133.052214.5887.86679.748102.84966.35242.04930.123.615.812.17.45.15.54.34.443.32.41.40.30
Totaal vlottende activa 2,297.1392,285.1122,268.5471,842.7381,628.8491,473.611,431.8691,284.2341,343.6811,323.2831,172.5281,064.685772.663738.312728.186829.7041,059.6381,112.3551,016.908916.316698.619643.172686.006671.61490.5430.4334217.7133.767.747.532.331.437.84263.456.5630
Niet-vlottende activa:
Materiële vaste activa, netto 318.065311.685322.196372.505369.414125.176144.887161.509142.906121.754112.644107.68107.972103.651124.658145.699152.311132.081110.51595.783113.119130.587147.524131.369110.99549.9000000000000
Goodwill 237.97237.81222.855223.055210.364209.958210.885209.793208.579199.488200.833201.339189.423189.787189.336187.53191.068177.125000000000000000000000
Immateriële activa 2.4335.3173.3345.5941.7523.1494.9463.6714.50800.5562.2560.050.2190.3921.8524.0751.54165.857167.931162.508161.912160.632168.05175.7178.4177.4174.7155.4152.8152.2143.8140.7141.7133.7123.493.141.40
Goodwill en immateriële activa 240.403243.127226.189228.649212.116213.107215.831213.464213.087199.488201.389203.595189.473190.006189.728189.382195.143178.665165.857167.931162.508161.912160.632168.05175.7178.4177.4174.7155.4152.8152.2143.8140.7141.7133.7123.493.141.40
Langetermijnbeleggingen 0-56.108548.385601.154581.53-91.204-74.867-118.764-145.684-133.151-112.881-102.993145.43700000000000000000000000000
Belastingvorderingen 140.135124.564135.427113.532101.02991.20474.867118.764145.684133.151112.881102.99388.5788.46746.51543.8743.20635.9225.40618.6275.657102.84966.3520000000000000000
Overige niet-vlottende activa 15.04756.108-548.385-601.154-581.5391.20474.867118.7643.2862.7423.715.3117.713233.548194.448193.33400000-102.849-66.35200.1-0.10.123.6127.34.95.76.88.98.78.16.124.40
Totaal niet-vlottende activa 713.65679.376683.812714.686682.559429.487435.585493.737359.279323.984317.743316.586539.173535.672555.349572.285390.66346.666301.778282.341281.284292.499308.156299.419286.7273.3227.4198.3167.4160.1157.1149.5147.5150.6142.4131.599.265.8132.7
Totaal activa 3,010.7892,964.4882,952.3592,557.4242,311.4081,903.0971,867.4541,777.9711,702.961,647.2671,487.7641,381.2711,311.8361,273.9841,283.5351,401.9891,450.2981,459.0211,318.6861,198.657979.903935.671994.162971.029777.2703.7561.4416301.1227.8204.6181.8178.9188.4184.4194.9155.7128.8132.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 132.08897.08668.44740.79187.439118.5883.483135.54148.108175.107139.683139.879117.59600111.645108.0799.48489.13372.03445.09450.13233.38451.07329.823.720.31512.67.26.75.75.64.65.50000
Kortlopende schulden 160.918172.166167.574157.447143.0340.20.1830.1670.1530.140.1280.1170.1110.1230.1130.1050.370.3630.3560.0770.0710.0660.2021.2230.91.33.61.54.21.10.40.965.71.310.82.81.30
Belastingschulden 42.58349.09489.74871.72723.45436.45434.45129.1782.50626.31734.65844.244000016.2488.5687.70312.60000000000000000000
Uitgestelde opbrengsten 0124.56425.60118.25212.9480000034.658102.993000-9.861323.264294.325239.509195.6340000000000000000000
Overige kortlopende verplichtingen 899.522897.8561,032.904776.661686.765664.302629.779515.011504.782421.798361.384317.397355.294408.337366.855301.102323.264294.325239.509195.634143.734134.017143.061184.86145.5127.898.270.139.121.315.18.17.98.41120.415.715.90
Totaal kortlopende verplichtingen 1,235.1111,216.2021,358.6731,046.626940.692819.536747.896679.896655.549623.362535.853501.637473.001408.46366.968402.991447.952402.74336.701280.345188.899184.215176.647237.156176.2152.8122.186.655.929.622.214.719.518.717.831.218.517.20
Langlopende verplichtingen:
Langetermijnschulden 161.44151.768181.291223.869202.20.4570.6570.841.0071.1591.31.4281.5451.6561.7791.8923.7533.8312.6982.2662.3432.4142.482.5412.63.44.55.11.53.132.36161.680.88988.580.7551.3
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000000000000000004.0769.33912.79322.32515.915.915.81816.515.213.411.699.44.81.40
Overige niet-vlottende verplichtingen 25.88727.9631.34481.6424.83319.90613.63610.63610.70742.88833.47536.19536.78529.49714.97813.21814.5449.7798.4144.1760000000.1000.10-0.100-0.14.13.656.627.3
Totaal niet-vlottende verplichtingen 187.327179.728212.635305.509227.03320.36314.29311.47643.6344.04732.26837.62338.3331.15316.75715.1118.29713.6111.1126.4422.3436.4911.81915.33424.928.420.52117.321.248.876.17592.497.910289.16378.6
Totaal passiva 1,422.4381,395.931,571.3081,352.1351,167.725839.899762.189691.372699.179667.409568.121539.26511.331439.613383.725418.101466.249416.35347.813286.787191.242190.705188.466252.49201.1181.2142.6107.673.250.87190.894.5111.1115.7133.2107.680.278.6
Eigen vermogen:
Preferente aandelen 0000000.49300.2940.270000000086.19100000000000000000000
Gewone aandelen 0.1050.1080.1110.1130.1150.1190.1240.1280.1310.1350.1370.1390.1420.1460.1490.1510.1580.1680.1710.1730.1720.1710.1750.1760.100000000000000
Ingehouden winsten 266.169318.508167.65929.93636.067037.03384.56234.46736.83613.3150000000156.05240.74220.828246.803391.255388.954329.5309.8267.4194.7137.7100.475.46561.357.251.646.935.139.150
Overige gereserveerde algehele resultaten -32.626-43.623-22.622-4.732-19.986-16.1093.507-20.502-10.29414.7338.07143.77940.88747.1245.5834.26368.85338.577-61.191-31.374-27.39-45.465-72.817-77.062-56.5-48.9-30000000000000
Overige totale aandeelhoudersvermogen 1,354.7031,293.5651,235.9031,179.9721,127.4871,079.1881,064.6011,022.411979.477928.157868.12798.093759.476787.105854.081949.474915.0381,003.926875.843702.331595.051543.457487.083406.471303261.6181.4113.790.276.658.22623.120.117.114.8139.54.1
Totaal eigen vermogen van aandeelhouders 1,588.3511,568.5581,381.0511,205.2891,143.6831,063.1981,105.2651,086.5991,003.781979.858919.643842.011800.505834.371899.81983.888984.0491,042.671970.873911.87788.661744.966805.696718.539576.1522.5418.8308.4227.9177133.69184.477.368.761.748.148.654.1
Totaal eigen vermogen 1,588.3511,568.5581,381.0511,205.2891,143.6831,063.1981,105.2651,086.5991,003.781979.858919.643842.011800.505834.371899.81983.888984.0491,042.671970.873911.87788.661744.966805.696718.539576.1522.5418.8308.4227.9177133.69184.477.368.761.748.148.654.1
Totaal passiva en aandeelhoudersvermogen 3,010.7892,964.4882,952.3592,557.4242,311.4081,903.0971,867.4541,777.9711,702.961,647.2671,487.7641,381.2711,311.8361,273.9841,283.5351,401.9891,450.2981,459.0211,318.6861,198.657979.903935.671994.162971.029777.2703.7561.4416301.1227.8204.6181.8178.9188.4184.4194.9155.7128.8132.7