RPM International Inc.

NYSE:RPM

125.29 (USD) • At close December 20, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 589.442479.731492.466503.5305.082267.687339.257184.671357.458228.328305.984109.851233.763203.168181.127119.61647.709208.289-76.205105.032141.88635.327101.55462.96140.99294.687.878.368.961.152.639.434.531.827.7
Afschrijvingen & Amortisatie 171.251154.949153.074146.857156.842141.742128.499116.773111.03999.17690.06983.74473.69872.75384.25385.14485.36681.60774.29965.99263.27758.67456.85981.49479.1562.15751.142.636.925.921.419.414.412.2
Uitgestelde Inkomstenbelasting -5.6386.236-25.06720.188-12.155.434-10.6924.0499.39997.5026.572-40.991-7.0887.70832.4851.136-73.88832.74-116.616021.422-46.733-3.9300000-5.7000000
Aandelen Gebaseerde Vergoedingen 25.92528.67340.11440.92619.78931.15425.4432.54131.28731.74123.56817.14513.90412.28210.0300000000000000000000
Verandering in Werkkapitaal 359.984-104.366-448.2599.2974.054-176.184-108.007-170.617-23.565-95.52-146.37262.974-14.419-57.352-110.39723.883-110.928-119.417-75.099-29.432-73.274-32.89335.192-62.3877.012-26.9-26.3-57.2-15.6-13.9-25.83.7-5.9-6-17.7
Vorderingen 82.895-52.475-187.299-48.55576.496-131.204-119.83-108.142-28.674-37.435-76.81127.8862.487-53.48431.062306.1110000000000000000000
Voorraden 179.84366.805-304.197-68.80221.309-16.829-34.102-70.726-17.733-31.348-59.001-40.0397.115-71.523-15.05975.014-28.361-23.864-42.255-44.429-31.9491.26225.929-37.5784.71611.1-19.7-11.7-4.4-20.2-2.2-1.2-2.3-3.4-4.6
Crediteuren -24.439-116.053101.223151.388-27.111-29.62851.64116.247-5.958-16.24942.21672.0713.63555.89619.638-119.3270000000000000000000
Overig Werkkapitaal 121.685-2.643-57.97765.2593.361.477-5.716-7.99628.8-10.488-52.7763.063-97.65611.759-146.038-237.915-82.567-95.553-32.84414.997-41.325-34.1559.263-24.8092.296-38-6.6-45.5-11.26.3-23.64.9-3.6-2.6-13.1
Overige Niet-Contante Posten -18.65911.882-33.606-44.6056.30223.10815.884198.71-10.912-30.779-1.672135.731-4.986-0.3936.43837.216288.1-0.914379.1115.76-0.314146.2542.086-7.573-24.576-12.1-7.5-3.2-1.1-2.9-1.2-7.2-2.3-4.13.8
Kasstroom uit Operationele Activiteiten 1,122.305577.105178.731766.156549.919292.941390.383386.127474.706330.448278.149368.454294.872238.166203.936266.995234.714202.305185.489157.352152.997160.629191.3774.495102.578117.7111698781.251.557.345.736.126
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -213.97-254.435-222.403-157.199-147.756-136.757-114.619-126.109-117.183-85.363-93.792-91.367-71.615-39.826-23.241-54.986-71.84-70.393-61.155-55.609-51.253-41.814-39.931-54.118-63.185-98-108.1-35.8-33.2-28.2-25.7-28.5-17.1-16.4-10.7
Netto Overnames -15.549-47.542-127.457-165.223-65.102-168.205-112.442-254.2-51.992-467.573-39.248-397.425-195.256-46.305-92.553-16.669-123.13-124.154-174.625-20.1-37.703-65.994-3.138-2.645-323.0330.6131.200000000
Aankoop van Beleggingen -32.981-18.674-15.032-121.669-28.891-19.787-181.953-38.062-32.28-61.511-83.536-106.301-69.824-92.06-105.364-75.41-110.225-96.695-60.311-44.309-36.955-15.145-15.693-21.906-19.816-31.7-27.2-13.4-17.5000000
Verkoop/verval van Beleggingen 46.68912.73121.533112.29831.33769.743138.80376.58832.63140.27962.896103.50151.41577.03593.97265.86292.41378.5350.10539.15421.4111.37619.49528.28313.14229.917.41511000000
Overige Investeringsactiviteiten 9.37158.21683.8125.4050.7996.769.0182.1182.95814.7153.96914.18817.958-4.7840.233-0.34443.5684.46111.6054.8963.2391.1761.56932.34154.791.1-2.1-307-33.8-173.5-4.10-124.316.2-44.9
Kasstroom uit Investeringsactiviteiten -206.44-249.704-259.547-326.388-209.613-248.246-261.193-339.665-165.866-559.453-149.711-477.404-267.322-105.94-126.953-81.547-169.214-208.251-234.381-75.968-101.262-110.401-37.698-18.045-338.102-98.111.2-341.2-73.5-201.7-29.8-28.5-141.4-0.2-55.6
Financieringsactiviteiten:
Schuldaflossingen -575.408-13.743336.059-188.27814.271354.97474.676443.285-5.025298.242-6.479251.526-8.234175.997-5.5835.40470.69199.95633.91120.488-6.27811.101-248.981-1.539370.46725.105-77.6328.613.5143.92.8-9.9124.6-240.5
Uitgifte van Gewone Aandelen 000000000000000010.68925.83310.63612.5435.7963.286165.4380.4110.8762.2222.21.31.10.70.60.70.50.20.6
Terugkoop van Gewone Aandelen -79.526-67.047-64.049-72.782-143.075-221.98-17.152-21.948-71.346-39.528-12.906-3.014-6.985-21.811-2.283-45.36-6.0570000-1.1670-11.101-71.472-17.044000000000
Uitgekeerde Dividenden -231.883-213.912-204.394-194.72-185.101-181.409-167.476-156.752-144.35-136.179-125.743-117.647-112.153-108.585-105.43-101.836-90.638-82.106-74.427-68.933-63.651-59.139-52.409-50.605-51.901-50.4-43.5-39.7-36.7-31.3-30.1-22.4-20.7-18.3-15
Overige Financieringsactiviteiten -3.217-6.454-10.226-3.839-2.965-5.427-129.424-228.61414.616-12.3427.8857.2859.93112.11614.6673.18814.4811.549000000000-0.1-0.19.20.50000
Kasstroom uit Financieringsactiviteiten -890.034-301.15657.39-459.619-316.87-53.842-239.37635.971-206.105110.193-137.243138.15-117.44157.717-98.629-138.604-11.52345.232-29.88164.098-64.133-45.919-135.952-62.834247.97-40.2-118.9289.9-13.5121.9-26.2-31.6104.4-20.126.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -4.239-12.13-21.60633.139-13.188-12.1074.1112.912-12.294-39.345-1.881-1.614-29.15229.713-16.386-24.70818.25811.1143.2494.0990.2344.2440.526-1.03-0.835-0.5000000000
Netto Kasstroomverandering 21.59214.115-45.03213.28810.248-21.254-106.07585.34590.441-158.157-10.68627.586-119.043219.656-38.03222.13672.23550.4-75.524149.581-12.1648.55318.246-7.41411.611-21.13.317.701.4-4.5-2.88.715.8-3.5
Kaspositie aan het Einde van de Periode 237.379215.787201.672246.704233.416223.168244.422350.497265.152174.711332.868343.554315.968435.011215.355253.387231.251159.016108.616184.1438.56150.72542.17223.92631.3419.740.737.619.819.818.420.227.318.62.5