Roper Technologies, Inc.

NYSE:ROP

567.62 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,368.4985.6982.6949.71,767.9944.4971.772658.645696.067646.033538.293483.36427.247322.58239.481286.515250.033193.324153.17593.85245.23940.05355.83949.27847.339.336.428.923.320.919.14.74.9
Afschrijvingen & Amortisatie 755.2650.1634.1520.8416367344.965240.453204.261197.284189.19154.748140.143123.021103.448103.10893.1882.04471.31941.38716.37815.17627.45522.2981614.411.47.965.35.14.44.1
Uitgestelde Inkomstenbelasting 374.7296.4282.9259.6-726.715.9-9.3930-70.8600014.52610.123-6.225-44.815-20.688-15.4150000000000.4-0.3-0.7-0.4-0.2-0.4
Aandelen Gebaseerde Vergoedingen 123.5118.5123108.3101.2133.883.178.861.76663.02753.13340.77331.7325.1527.47630.90520.68815.41500001170000000000
Verandering in Werkkapitaal -428.914.997.3197.1-84.8-31.5-144.286-17.80632.519-71.43422.237-9.995-20.2621.0413.27313.91-20.094-28.24552.48420.5289.6765.7719.148-3.937-10.522.4-12.4-5.1-3.4-12.38.3-0.42.5
Vorderingen -57.72.5-100.253.3-46.7-83.5-6.673-21.93630.753-10.70918.046-21.577-33.333-9.69726.97814.609-21.243-34.580000550000000000
Voorraden -6.6-43.1-13.94.6-17.3-21.8-15.3636.353-1.156.349-12.68718.361-23.033-5.68731.081-8.728-0.489-14.4429.881-1.4985.310.7237.418-4.3573.85.62.3-0.5-2.8-1.5-0.61.91.7
Crediteuren 18.221.346.982.3-24.268.873.3336.393-6.554-5.079.014-8.481.90326.602-17.0119.20914.21932.943000093.10000000000
Overig Werkkapitaal -382.834.2164.556.93.45-195.583-8.6169.47-62.0047.8641.70134.2039.823-37.775-1.18-12.581-12.16642.60322.0264.376-4.953-136.370.42-14.316.8-14.7-4.6-0.6-10.88.9-2.30.8
Overige Niet-Contante Posten -157.8-1,330.9-121.1-523.8-15.10.5-11.6513.6665.0725.531-0.38.9668.232-2.3750.06844.81520.68815.4154.3239.058025.97-117000.100.90.61.1-0.100.1
Kasstroom uit Operationele Activiteiten 2,035.1734.62,011.91,525.11,461.81,430.11,234.482963.785928.825840.441802.553677.852601.618499.54367.521434.438343.807262.538281.301164.82571.29386.969102.44267.63952.876.235.433.126.214.3328.511.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -108-70.3-62.6-48.9-62.9-58.6-59.536-40.106-36.26-37.644-42.528-38.405-40.702-28.591-25.885-30.047-30.107-32.153-24.762-12.141-10.422-7.78-7.455-15.15-41.4-68.2-5-5-3.2-10.4-3.9-0.9-4.3
Netto Overnames -2,052.7-4,280.1-217-6,022.4-1,230.5-1,275.8-153.736-3,721.758-1,657.259-305.379-1,074.413-1,467.772-233.594-536.413-354.561-705.244-106.942-352.125-329.934-641.147-492.51-82.813-170.18-161.546000000000
Aankoop van Beleggingen -32.500000000000000000000000000000000
Verkoop/verval van Beleggingen 32.500000000000000000000000000000000
Overige Investeringsactiviteiten 34.45,559.9136.7-2.6-2.6-0.73.6969.008-4.813-5.0821.0780.632-1.4531.736.254-4.003-5.339-2.387-1.174-5.111-4.664-1.8710.906-1.5310.1-0.2-55.5-74.9-24.2-3.9-9.5-30.31.8
Kasstroom uit Investeringsactiviteiten -2,126.31,209.5-142.9-6,073.9-1,296-1,335.1-209.576-3,752.856-1,698.332-348.105-1,115.863-1,505.545-275.749-563.274-374.192-739.294-142.388-386.665-355.87-658.399-507.596-92.464-176.729-178.227-41.3-68.4-60.5-79.9-27.4-14.3-13.4-31.2-2.5
Financieringsactiviteiten:
Schuldaflossingen -340-1,270-1,650-600-322.9-1,705-1,060-18.45-17.132-252.079-512.826-133.945-256.457-23.411-617.978-967.97100000000-4-23.40000000
Uitgifte van Gewone Aandelen 130.714.379.410.56.85.44.1983.342.8892.7512.4492.1952.1041.697121.4271.89417.02622.25915.686339.205200.928.8394.7884.2233.93.31.8000.21.727.10
Terugkoop van Gewone Aandelen 209.3004,984.4-322.91,510.628.4872,956.6581,095.4237.712955.4951,035.48426.063217.35-350966.07700000000-5.6-18000000-3.1
Uitgekeerde Dividenden -290.2-262.3-236.4-214.1-191.7-170.1-142.8-121.1-100.334-79.859-49.092-69.903-42.09-35.706-29.823-25.887-22.954-20.402-18.151-14.201-11.738-10.317-9.232-8.537-7.9-7.4-6-4.8-3.3-2.1-1.3-0.8-0.3
Overige Financieringsactiviteiten -209.352.772.9-43.91,007.7-290.051-15.15515.39623.3717.60720.03913.7017.679862.755213.80635.476136.4347.848223.368298.8372.25883.31113.9296.546.629.549.84.72.7-19.4-4.7-4
Kasstroom uit Financieringsactiviteiten -499.5-1,465.3-1,813.54,136.9177-388.1-1,170.0172,805.263996.242-298.104403.633853.87-256.679167.609-13.619187.91929.548138.2915.383548.372488.0190.7878.866109.615-7.11.125.3451.40.8-1921.6-7.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 12.2-37.5-12.310.52.5-13.859.238-37.503-58.654-43.522-1.1936.312-1.483-1.1899.929-13.7628.3232.198-7.1174.3873.2480.8870.239-1.145-0.3-0.1-0.1-0.100.1-0.1-0.1-0.3
Netto Kasstroomverandering -578.5441.343.2-401.4345.3-306.9-85.873-21.311168.081150.7189.1332.48967.707102.686-10.361-130.699239.2916.362-76.30359.18554.964-3.8284.818-2.1184.18.80.1-1.90.20.9-0.5-1.21.1
Kaspositie aan het Einde van de Periode 214.3792.8351.5308.3709.7364.4671.327757.2778.511610.43459.72370.59338.101270.394167.708178.069308.76869.47853.116129.41970.23412.36216.1911.37213.59.40.50.42.22.11.21.72.9