Rockwell Automation, Inc.

NYSE:ROK

277.88 (USD) • At close November 12, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 947.31,278919.11,344.31,023.2695.8535.5825.7729.7827.6826.8756.3737697.1440.4217.9577.61,487.8607518.4354.1282226125636562-410644726742634.1561.9483600.5624.3734.9
Afschrijvingen & Amortisatie 317.4250.4238.9189.8172.7152.2164.6168.9172.2162.5152.5145.2138.6131.3127.3134.1136.5117.9153.6171.2186.7198206272369337306484542571493.9490.9558.1601.4620614.6
Uitgestelde Inkomstenbelasting 0-100.1-33.6-184.1-65.7-29170.533.8-70.5-29.3-7.1-4.482.949.657.514.7-16.1-43.7-16.1115.863.627-14216612-44-6-1247843.6-1.2-10.7-85.832.8-53.8
Aandelen Gebaseerde Vergoedingen -254.988.368.151.746.143.138.538.540.541.542.541.143.539.536.327.802929.512.335.26-520000000000000
Verandering in Werkkapitaal 0-274.5-675.5-4-105.7-93.8570.6155.3-67.473-36.8-15.878.3-100.918.4254.6-129.1-206.646.4-129.139.4-4085-163-20837-163-266-139-182-127.9-0.5-147.4-270.5-145.4-1,092.4
Vorderingen 0-368.7-415.618-25.4-9.6-91.7-53-18.973.4-53.7-12.3-135.7-207.2-96.9228.20-95.1-63.9-56.4-48.2-9330000000000000
Voorraden 0-295.9-292.8-202.830.4-4.9-37.4-30.44.6-2.512.90.821.4-41.9-166.4127.5-76.2-67.7-27.59-28.52653-3-69-29-40-81-201-191-88.312.4-24.4105.6-0.1-71.8
Crediteuren 070.2172184.8-514.567.281.132.317.3-20.73.390.215117.2-101.1068.452.920.737.17-860000000000000
Overig Werkkapitaal 0319.9-139.1-4-105.7-93.8632.5157.6-85.4-15.224.7-7.6102.4133.2164.5311.3-52.9-112.284.9-102.479-6485-160-13966-123-185629-39.6-12.9-123-376.1-145.3-1,020.6
Overige Niet-Contante Posten -146132.5306.1-136.749.9413.7-179.7-188.2142.8112.455.492.4-361.6-172.9-185.9-123.232.9-925.6-394.2-22.3-82.1-37-11-81-37-75879-44-171-5-123.1-120.9-149.1241.3-55.1-94
Kasstroom uit Operationele Activiteiten 863.81,374.6823.11,2611,120.51,1821,3001,034947.31,187.71,033.31,014.8718.7643.7494525.9590.8458.8426.2666.3596.94364403359268735516671,1961,121920.6930.2701.9742.61,056.6-55
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -224.7-160.5-141.1-120.3-113.9-132.8-125.5-141.7-116.9-122.9-141-146.2-139.6-120.1-99.4-98-151-131-150.1-124.1-98-109-104-157-315-618-566-683-866-1,872-587.4-550.9-409.5-501.3-575.7-608.6
Netto Overnames -749.2-168.4-16.6-2,488.5-550.9-20.7-9.992.9-139.1-21.2-81.5-84.8-16.2-45.90-30.7-110.8-249.5-39.5-5.40-26-71-6-19300000000000
Aankoop van Beleggingen -10-27.1-59.8-13.6-10.7-5.1-1,296.9-1,444.2-1,070.7-867.6-705.7-372.2-487.5114.90-12.57.71,744254.400000000000000000
Verkoop/verval van Beleggingen 0.21,210.4213.50.643.9379.11,261.4975.2886.3762.7447.8350137.55.14.14.836.334.724.100000000000000000
Overige Investeringsactiviteiten 1.2-0.1-3.8-4.813.64.50.51.10.42.1-3-3.62.6-114.96.34-2.9-5.8-6.46.732.82-431659198101938-24338103.529.895.170273.4299.4
Kasstroom uit Investeringsactiviteiten -982.5854.3-7.8-2,626.6-618225-170.4-516.7-440-246.9-483.4-256.8-503.2-160.9-89-132.4-220.71,392.482.5-122.8-65.2-133-175153-449-420-465255-1,109-1,834-483.9-521.1-314.4200.7-502.3-309.2
Financieringsactiviteiten:
Schuldaflossingen 000000000000000000000000000000000000
Uitgifte van Gewone Aandelen 088.5117.52,127.563847.4282.4181.936.2000000013.264.960.191.678.570254420125755642503863.218.931.526.710.8
Terugkoop van Gewone Aandelen -594.9-311.5-301.3-299.7-264.2-1,009-1,482.3-342.6-507.6-598.4-485.7-402.7-259.4-298.7-118.8-53.5-359.1-1,519.3-722.5-499.2-258.4-128-63-63-325-172-980-856-48-137-154.9-64.9-230.4-338.2-302.9-278
Uitgekeerde Dividenden -571-542.4-519.4-497.1-472.8-459.8-440.8-390.7-378.2-350.1-320.5-276.3-247.4-211-173.6-164.5-170.2-184.7-159.3-142.7-122.5-122-122-170-192-194-202-248-253-235-225.2-211.4-206.1-201.5-195.8-192.2
Overige Financieringsactiviteiten 68.2-1,133.2-21-30.40.8872.11.883.73.310.829.930.118.137.815.8-0.74.226.746.7-1.3-1.2-2360000000000000
Kasstroom uit Financieringsactiviteiten -502.8-1,675.6-934.21,297.8-798.9-985.9-1,888.9-649.6-397.7-608.1-521.8-454.6-282.7-297.9-241.4-307.4-442.8-1,673.9-556.4-550.6-312-335-97-546-670-220-252-1,302-58750-581.2-238.9-288.7-850.7-475.5-203.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 12.119.2-52.616.88.4-21.5-32.816.8-10.5-96.7-37.70.6-16.8-5.86.8-24.530.738.8-1.2-3.11.8-319927000-87713-436.7-409.1-387.5-943.3-554.3364.2
Netto Kasstroomverandering -609.464.6-171.5-51-288399.6-792.1-115.599.1236-9.6297-85175.5169.661.6-42216.1-48.9-10.2221.5-63168-49-166233-166-380-58750-581.2-238.9-288.7-850.7-475.5-203.5
Kaspositie aan het Einde van de Periode -609.4572.5507.9679.4730.41,018.4618.81,410.91,526.41,427.31,191.31,200.9903.9988.9813.4643.8582.2624.2414.7463.6473.82262891211903561032836281,378191.6363.7215.1-439.5-143.1696.6