The Sherwin-Williams Company

NYSE:SHW

384 (USD) • At close November 7, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 2,388.82,020.11,864.42,030.41,541.31,108.7461,813.8021,132.7031,053.849865.887752.561631.034441.86462.485435.848476.876615.578576.058463.258393.254332.058127.565263.15816.026303.9272.9260.6229.2200.7186.6165.2144.6128.2122.7108.9
Afschrijvingen & Amortisatie 622.5581.1572.6581.4574.9596.281491.761197.711198.562198.945187.794179.202180.904175.311170.904165.511163.479145.917152.24137.284116.564115.648148.098160.03155.8147.9139.2103.677.960.555.166.347.944.542
Uitgestelde Inkomstenbelasting -88.9-144.8-80.3-145.3-131.1-143.378-606.135-68.2414.976-19.03827.775-10.42216.91320.07-8.60532.16927.725-11.352-16.04817.22739.87219.74715.677-26.88621.230.659.2-14.2-3.3-18.3-21.9-5.2-3.80-0.4
Aandelen Gebaseerde Vergoedingen 115.999.797.795.9101.782.58890.29272.10972.34264.73558.00454.34848.17642.27623.27141.1140000000000000000000
Verandering in Werkkapitaal -192.9-1,150.3-653.3276-548176.4821.766-228.19573.213-96.662-12.764-24.307-8.292-45.108146.67331.222-51.066-6.563-2.402-90.4084.49184.38789.181-28.72717.6-2.3-16.2-2.90.9-16.427-1.4-49.9-8.87.6
Vorderingen 85.6-200.2-287.810.3-73.218.424-49.85-113.855-56.873-80.252-41.473-33.578-93.697-111.113108.1968.4940000000000000000000
Voorraden 323.4-666.7-228.184.4-75.5-119.51-89.959-52.577-40.733-101.11225.03119.929-19.222-82.06145.867-2.4725.117-7.546-33.464-62.702-0.153-0.22972.1326.188-24.439.1-30.9-85.93.9-28.7-19.615.4-42.3-7.4-0.8
Crediteuren -241.146.6346.1227.236.2113.786166.687-118.893160.11178.60334.685-51.12464.053155.116-82.60716.3490000000000000000000
Overig Werkkapitaal -360.8-330-483.5-45.9-435.5163.782-25.11257.1310.7086.099-31.00740.46640.574-7.051-24.777-51.149-56.1830.98331.062-27.7064.64484.61617.049-34.91542-41.414.783-312.346.6-16.8-7.6-1.48.4
Overige Niet-Contante Posten 676.5514.1443.5570.2782.5122.98192.482202.48544.52167.66170.39658.03156.25151.55691.095129.34188.468103.597.05-10.277-15.518.75128.315-3.31-29.533.14.4-5.7-16.138.128.99.813.1-3.712.2
Kasstroom uit Operationele Activiteiten 3,521.91,919.92,244.63,408.62,321.31,943.71,883.9681,308.5721,447.4631,081.5281,083.766887.886735.812706.59859.186876.233874.545815.841716.702544.681558.929558.917561.646461.108485.1478.5439.5332.6282.7250.5254.3214.1135.5154.7170.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -888.4-644.5-372-303.8-328.9-250.957-222.767-239.026-234.34-200.545-166.68-157.112-153.801-125.162-91.328-117.203-165.87-209.939-143.072-106.822-116.507-126.53-82.572-132.778-149.6-146.1-164-122.7-108.4-87.9-66.2-71.8-88-271.4-71.7
Netto Overnames -161-1,003.1-88.460.7-77.338.354-8,810.31538.43400-79.94-99.242-44.436-298.161-15.44-68.688-282.416-51.176-23.285-554.478-48.374-26.649-15.162-60.10800000000000
Aankoop van Beleggingen 000-79.3-63.3-39.037-61.526-103.182-65.593-111.021-94.739-95.778-92.374-74.961-29.23-62.067-52.514-71.181-37.134-12.739-27.875-16.144-16.614-51.163-23.4-19.300-200-36.7-300-5.4
Verkoop/verval van Beleggingen 000-60.7328.90222.767000166.68157.112153.8010.16191.328117.20321.28.97913.4620.60547.84711.7780000057.8039.700366.914.5
Overige Investeringsactiviteiten 10.140-1660.7-32238.354-175.52138.43411.31.516-163.635-147.435-140.9598.174-85.729-106.07322.9843.565-9.718-8.4478.856-15.01623.456-8.9899.1-3.3-896.5-654.8-97.46.4-3.5-0.3-3.525.3-2.4
Kasstroom uit Investeringsactiviteiten -1,039.3-1,607.6-476.4-322.4-462.6-251.64-9,047.362-303.774-288.633-310.05-338.314-342.455-277.769-489.949-130.399-236.828-456.616-319.752-199.747-681.881-136.053-172.561-90.892-253.038-163.9-168.7-1,060.5-719.7-225.8-41.8-106.4-75.1-88.5-179.2-65
Financieringsactiviteiten:
Schuldaflossingen -740.3-946.5-434.4-1,214.7-1,889.4-857.812-1,902.188-66.23-797.514-500.661-10.932-14-49.881-159.422-494.989-136.793-72.009-251.519-114.392-157.549-8.095-95.305-123.064-3.469-102-157-686.8-164.1-0.8-19.6-33.7-44.2-25.300
Uitgifte van Gewone Aandelen 418.189.311.7182.41,371.815.148143.57986.8310692.966101.868935.98466.967474.842508.23850.671.28198.65458.37788.48947.46837.51617.7986.4197.116.814.812.811.16.312.617.713.400
Terugkoop van Gewone Aandelen -1,432-883.2-2,752.3-2,446.3-778.8-613.31200-1,035.291-1,488.663-769.271-557.766-367.372-375.677-530.363-393.54-863.139-311.133-356.493-267.358-238.148-190.32-157.088-146.857-147.4-85-8.4-3.1-17.4-128.1-16.1-4.3-1.3-1.3-12.5
Uitgekeerde Dividenden -623.7-618.5-587.1-488-420.8-322.934-319.029-312.082-249.647-215.263-204.978-160.939-153.512-156.424-162.561-165.111-162.301-135.357-113.588-96.915-90.689-91.007-90.984-88.124-81-77.8-69-60-54.6-48.4-44.4-38.8-36.7-32.9-30.1
Overige Financieringsactiviteiten -46.7183.51,928.1946.5-129.232.2578,735.30770.959304.58544.54630.00583.29928.589-6.887-3.1556.934159.551535.706-3.91309.941-1.31-4.727-0.7868.64.48.81,3723542.82.4-0.9-5.57.722.4-0.3
Kasstroom uit Financieringsactiviteiten -2,424.6-282.4-1,834-3,020.1-1,846.4-1,746.6536,514.09-307.353-980.353-1,467.075-853.308286.578-475.209-223.568-682.83-637.91-866.617-63.649-530.006-123.392-290.774-343.843-354.124-223.431-318.9-294.2622.6139.6-58.9-187.4-82.5-75.1-42.2-11.8-42.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 203.24.9-1.3-65.885-36.276-13.396-13.465-8.56-9.845-2.115-8.723-3.817-2.84-2.6086.8430.6893.163.7116.6992.685-0.712-0.366-2.800000-147.9-139-4724.5-105.3
Netto Kasstroomverandering 7833.1-60.964.86.3-48.708-685.58684.049165.012-704.157-117.701829.894-25.889-10.74443.117-1.113-441.845433.129-9.891-256.881138.80145.198115.918-15.727-0.515.61.6-247.5-221.3-82.5-75.1-42.2-11.8-42.9
Kaspositie aan het Einde van de Periode 276.8198.8165.7226.6161.8155.505204.213889.793205.74440.732744.889862.5932.69658.58569.32926.21227.325469.1736.04145.932302.813164.012118.8142.89618.619.13.52249.4251.482.225.753.8120.426.9