Roper Technologies, Inc.

NYSE:ROP

564.77 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 214.3792.8351.5308.3709.7364.4671.327757.2778.511610.43459.72370.59338.101270.394167.708178.069308.76869.47853.116129.41970.23412.36216.1911.37213.59.40.60.42.321.21.72.9
Kortetermijnbeleggingen 000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 214.3792.8351.5308.3709.7364.4671.327757.2778.511610.43459.72370.59338.101270.394167.708178.069308.76869.47853.116129.41970.23412.36216.1911.37213.59.40.60.42.321.21.72.9
Nettovorderingen 984877962.41,126.6993.6891.9785.296749.819610.313607.947606.02598.601502.963478.957438.811438.023420.026324.514257.21242.014150.856140.897121.271115.19189.27778.850.738.932.418.715.410.1
Voorraad 118.6111.3176.1198.4198.6190.8204.933181.952189.868193.766204.923190.867204.758178.559178.795185.919174.138168.319131.838132.282107.08288.99190.34783.62756.451.450.231.123.317.513.312.412.6
Overige vlottende activa 164.5151.3142.511997.68097.84687.5339.35545.76338.2143.49231.64737.28758.12526.90620.40547.27636.89831.9619.7065.3725.2453.7652.72.12.32.32.11.31.22.70.3
Totaal vlottende activa 1,481.41,932.42,421.11,752.31,999.51,610.71,759.4021,776.5011,618.0471,512.1051,373.3371,249.3381,115.473998.091870.745858.307951.137627.495498.207556.16381.192247.622233.053213.955161.8139.9131.984.566.653.234.432.225.9
Niet-vlottende activa:
Materiële vaste activa, netto 119.685.3102.8140.6139.9128.7142.535141.318105.51110.876117.31110.397108.775103.487109.493112.463107.513107.00397.46297.94978.46151.33951.88748.90734.831.931.42420.719.517.116.116.9
Goodwill 17,118.815,946.114,094.514,395.210,815.49,346.88,820.3138,647.1425,824.7264,710.6914,549.9983,868.8572,866.4262,727.782,388.4322,118.8521,706.0831,651.208343.267383.049216.10540.57400000000000
Immateriële activa 8,212.18,030.76,588.57,206.94,667.73,842.13,475.2183,655.8432,528.9961,978.7292,039.1361,698.8671,094.1421,104.513868.9804.02613.505544.1361,855.0771,631.2081,009.827497.22453.017323.195215197.2154.3129.968.248.942.532.75.6
Goodwill en immateriële activa 25,330.923,976.820,68321,602.115,483.113,188.912,295.53112,302.9858,353.7226,689.426,589.1345,567.7243,960.5683,832.2933,257.3322,922.8722,319.5882,195.3441,855.0771,631.2081,009.827497.22453.017323.195215197.2154.3129.968.248.942.532.75.6
Langetermijnbeleggingen 795.75350000000000000000000000000000000
Belastingvorderingen 32.255.9101.110495.652.230.72630.6231.53227.49628.77374.84863.00657.8533.12328.0523.85421.70225.85234.2056.034000000000000
Overige niet-vlottende activa 407.7395.4405.9425.8390.826988.21973.50359.55473.03776.42768.79771.59577.80357.04349.84651.09243.81545.70846.88239.48132.79224.16510.8458.612.511.74.600.40.200
Totaal niet-vlottende activa 26,686.125,048.421,292.822,272.516,109.413,638.812,557.01112,548.4268,550.3186,900.8296,811.6445,821.7664,203.9444,071.4333,456.9913,113.2312,502.0472,367.8642,024.0991,810.2441,133.803581.351529.069382.947258.4241.6197.4158.588.968.859.848.822.5
Totaal activa 28,167.526,980.823,713.924,024.818,108.915,249.514,316.41314,324.92710,168.3658,412.9348,184.9817,071.1045,319.4175,069.5244,327.7363,971.5383,453.1842,995.3592,522.3062,366.4041,514.995828.973762.122596.902420.2381.5329.3243155.512294.28148.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 143122.6150.8177.8162165.3171.073152.067139.737143.847150.313138.34141.943137.778110.103121.807125.537102.80371.69365.80145.41235.96334.23326.48618.521.115.7117.77.36.43.53.5
Kortlopende schulden 499.5699.2799.2502602.21.5800.944400.9756.80511.09211.016513.92869.90693.342112.796233.827331.103299.911273.31336.52720.92320.5153.016.70620.95.72.56.80.60.50.61.93
Belastingschulden 40.416.613226.9215.158.326.35122.76218.53204.27508.895001.89224.121041.63300000000000000
Uitgestelde opbrengsten 1,583.81,370.71,130.2994.6831.8677.9566.447488.399267.03190.953209.332212.56294.76100032.63831.286145.90114.855066.14161.020000000000
Overige kortlopende verplichtingen 553.5560.8758.8565.3424.3379.9293.521229.002148.287138.208117.84277.95396.748170.747145.009139.87528.59450.846-98.60870.56649.75-28.345-28.61624.81414.39.71110.711.75.77.11.61.2
Totaal kortlopende verplichtingen 2,963.22,892.53,121.82,444.42,397.41,448.22,029.4091,445.272720.128627.947643.0911,081.123554.196539.645478.011619.208667.53587.649505.625253.55161.497130.237103.8884.49272.257.644.939.527.720.820.510.511.2
Langlopende verplichtingen:
Langetermijnschulden 5,830.65,962.57,122.69,064.54,673.14,940.24,354.6115,808.5613,264.4172,203.0312,453.8361,508.1941,015.111,247.7031,040.9621,033.689727.489726.881620.958855.364630.186311.59323.83234.603109.7120.399.663.420.216.71028.431.8
Uitgestelde opbrengsten niet-vlottend 0111.569.942.733.20000000000-272.07700000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,513.11,676.81,479.51,562.51,108.1931.1829.6571,178.205810.856735.826783.805707.278482.603465.001328.299272.077221.411169.994124.202125.98450.1870000000000.91.31.5
Overige niet-vlottende verplichtingen 415.8299.7356.3430.9405.2191.5239.172104.02474.01790.7791.19986.78372.41266.26858.974314.90346.94823.99621.73317.4217.34411.13410.9067.6166.36.66.92.721.60.40.30.2
Totaal niet-vlottende verplichtingen 7,759.58,050.59,028.311,100.66,219.66,062.85,423.447,090.794,149.293,029.6273,328.842,302.2551,570.1251,778.9721,428.2351,348.592995.848920.871766.893998.768697.717322.724334.736242.219116126.9106.566.122.218.311.33033.5
Totaal passiva 10,722.710,94312,150.113,5458,6177,5117,452.8498,536.0624,869.4183,657.5743,971.9313,383.3782,124.3212,318.6171,906.2461,967.81,663.3781,508.521,272.5181,252.318859.214452.961438.616326.711188.2184.5151.4105.649.939.131.840.544.7
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000
Gewone aandelen 1.11.11.11.11.11.11.0441.0361.0281.0211.0131.0060.9870.9710.9580.9190.910.90.8830.4360.3720.3260.3210.3190.30.30000000
Ingehouden winsten 14,816.313,730.79,455.68,546.27,8186,247.75,464.5714,642.4024,110.533,520.2012,959.1962,489.8582,063.111,680.8491,395.5861,204.521944.886721.899549.603415.188336.52304.995275.259228.652187.9148.4116.586.262.142.124.16.32.5
Overige gereserveerde algehele resultaten -122.8-187-183.1-147-212.8-243.3-186.214-324.739-212.779-71.92743.08358.53733.843.97863.94521.513108.73268.66651.73176.24948.9895.94-7.757-8.913-2.2-37.7-31.6-26.700000
Overige totale aandeelhoudersvermogen 2,750.22,4932,290.22,079.51,885.61,7331,584.1631,470.1661,400.1681,306.0651,209.7581,138.3251,097.1991,025.109961.001776.785735.278695.374647.571622.213269.964.75155.68350.13346869377.943.540.838.334.21.2
Totaal eigen vermogen van aandeelhouders 17,444.816,037.811,563.810,479.89,491.97,738.56,863.5645,788.8655,298.9474,755.364,213.053,687.7263,195.0962,750.9072,421.492,003.7381,789.8061,486.8391,249.7881,114.086655.781376.012323.506270.191232197177.9137.4105.682.962.440.53.7
Totaal eigen vermogen 17,444.816,037.811,563.810,479.89,491.97,738.56,863.5645,788.8655,298.9474,755.364,213.053,687.7263,195.0962,750.9072,421.492,003.7381,789.8061,486.8391,249.7881,114.086655.781376.012323.506270.191232197177.9137.4105.682.962.440.53.7
Totaal passiva en aandeelhoudersvermogen 28,167.526,980.823,713.924,024.818,108.915,249.514,316.41314,324.92710,168.3658,412.9348,184.9817,071.1045,319.4175,069.5244,327.7363,971.5383,453.1842,995.3592,522.3062,366.4041,514.995828.973762.122596.902420.2381.5329.3243155.512294.28148.4