Schlumberger Limited

NYSE:SLB

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,9001,6551,7578441,1371,4331,7992,9292,7933,1303,4721,9054,8274,990243188.928197.233165.817190.954223.503234.192168.11177.7043,040.154,389.83,956.71,761.11,358.972.557.763.740.33947.953.91,449.12,568.63,810.44,590.1
Kortetermijnbeleggingen 1,0891,2391,3822,1621,0301,3443,2906,32810,2414,3714,8984,3693,1223,2264,3733,502.7422,971.82,833.0563,304.7272,773.9222,874.7811,567.9061,439.9970000000000000000
Liquide middelen en kortetermijnbeleggingen 3,9892,8943,1393,0062,1672,7775,0899,25713,0347,5018,3706,2744,8274,9904,6163,691.673,169.0332,998.8733,495.6812,997.4253,108.9731,736.0161,617.7013,040.154,389.83,956.71,761.11,358.972.557.763.740.33947.953.91,449.12,568.63,810.44,590.1
Nettovorderingen 7,8127,0325,3155,2477,7477,8818,0849,3878,78011,17111,49711,3519,5008,2786,0886,257.8615,361.1144,2423,383.8032,663.6422,568.4253,489.4064,028.452,768.8482,429.82,968.12,819.92,260.11,939.91,7611,545.91,4351,402.91,259.11,103.61,129.61,099.1974.71,273
Voorraad 4,3873,9993,2723,3544,1304,0104,0464,2253,7564,6284,6034,7854,7003,8041,8661,918.5031,638.1921,246.8871,010.448819.745796.5591,043.0571,204.2631,111.5851,268.51,333.11,094.1939782.2696.3621.4562.5596.6570.6509.9583.3575.9560700
Overige vlottende activa 1,5301,0789284,6665,6165,0735,3245,2835,0986,0226,3586,5316,2124,830926841.58704.482535.018430.814339.8263,579.814481.074532.709313.444258.6251.3220.2262.11,229.11,308.81,245.21,4151,5271,368.91,363.460.6174.766.977.1
Totaal vlottende activa 17,71815,00312,65412,91915,53015,73118,49723,92726,91224,69426,22524,15620,53918,09813,65012,893.67711,055.3839,185.6628,553.9137,059.74910,369.1217,185.447,704.897,493.2118,6068,805.26,071.25,042.64,023.73,823.83,476.23,452.83,565.53,246.53,030.83,222.64,418.35,4126,640.2
Niet-vlottende activa:
Materiële vaste activa, netto 8,1096,6076,4296,8269,27011,67911,57612,82113,41515,39615,09614,78012,99312,0719,6609,690.348,007.9915,576.0414,200.6383,761.7293,799.7114,663.7564,827.8794,394.5143,5614,6943,7693,358.63,118.52,857.52,818.92,497.22,3651,911.41,647.81,616.71,670.41,832.53,125.2
Goodwill 14,08412,98212,99012,98016,04224,93125,11824,99015,60515,48714,70614,58514,15413,9525,3055,188.9965,142.0834,988.5582,922,46503,284,254001,575.711,333.71,302.71,167.61,225.300000000000
Immateriële activa 3,2392,9923,2113,4557,0898,7279,3549,8554,5694,6544,7094,8024,8825,162288819.986902.7907.8743,242.3943,135.8813,687.5734,788.6577,072.318000001,330.51,204.71,109.1564.4439.5401.4274.4243.2231.1118534.3
Goodwill en immateriële activa 17,47415,97416,20116,43523,13133,65834,47234,84520,17420,14119,41519,38719,03619,0655,5936,008.9826,044.7835,896.4323,242.3943,135.8813,687.5734,788.6577,072.3181,575.711,333.71,302.71,167.61,225.31,330.51,204.71,109.1564.4439.5401.4274.4243.2231.1118534.3
Langetermijnbeleggingen 3,7351,5812,0442,0611,5651,5381,5192384184423632452564847382,339.757440,127153,000359,7500223,300000000000000000000
Belastingvorderingen -15100-2,061-1,565-1,538-1,5190000000376564.648214.745412.802331.037343.584316.277147.013126.057271.059209.6202.6202.820400000000000
Overige niet-vlottende activa 9213,9704,1836,3898,3819,4397,4426,1257,0866,2316,0012,9792,3772,0013,448493.321-437,596.53-151,238.799-358,000.491,699.834-221,431.3562,650.3292,595.2233,438.2371,370.91,073.4886.1494.6437.4436.1512.7492.3483.5616.4528.8517.7421.2649.3982.5
Totaal niet-vlottende activa 30,23928,13228,85729,65040,78254,77653,49054,02941,09342,21040,87537,39134,66233,62119,81519,097.04816,797.98913,646.4769,523.5798,941.0289,672.20512,249.75514,621.4779,679.526,475.27,272.76,025.55,282.54,886.44,498.34,440.73,553.93,2882,929.22,4512,377.62,322.72,599.84,642
Totaal activa 47,95743,13541,51142,56956,31270,50771,98777,95668,00566,90467,10061,54755,20151,71933,46531,990.72527,853.37222,832.13818,077.49216,000.77720,041.32619,435.19522,326.36717,172.73115,081.216,077.912,096.710,325.18,910.18,322.17,916.97,006.76,853.56,175.75,481.85,600.26,7418,011.811,282.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,6139,1218,3828,44210,66310,22310,03610,0167,7279,2468,8378,4537,5796,4385,0035,268.0191,5543,848.0173,564.8542,980.793,247.5454,580.7624,506.6342,910.7252,282.92,5402,297.42,200.21,773.61,704.81,722.81,398.81,437.61,3381,1380000
Kortlopende schulden 1,1231,6329098505241,4073,3243,1534,5572,7652,7832,1211,3772,5961,1251,597.3711,671.6351,321.529796.578715.8721,808.1271,135.5331,015.181592.221257.6795.7854.5813.883.485.860.249.1121.388.15769.425.58.218.5
Belastingschulden 9941,0028791,0151,2091,1551,2231,1881,2031,6471,4901,4261,2451,4938781,006.8161,071,8891,136,5291,028,5710807,938000000000000000000
Uitgestelde opbrengsten 1,9961,1571,0889419108777521,088-4,484-4,902-4,682-4,903-4,190-3,839002,996.7290000000000000000000000
Overige kortlopende verplichtingen 56-10,015-9,281-9,199-10,871-10,399-10,089-10,402-2,609-3,826-3,740-3,182-3,052-2,310-4,750-5,015.575-1,072,160.513-1,139,091.768-1,030,982.55-1,976.252-809,446.487-3,846.139-3,810.664-2,422.766-1,348.9-1,957-1,819.4-1,739.8-866.3-708.7-937.5-636.2-524.6-329.4-186.42,442.42,631.63,285.13,272.8
Totaal kortlopende verplichtingen 13,39512,01810,35910,49113,09813,48615,28215,05914,12114,17613,52512,36810,53810,8167,2598,124.657,504.8516,454.7955,514.7364,701.26,794.736,450.9186,217.7853,990.9053,474.53,918.73,629.93,474.42,764.32,786.72,568.32,210.52,471.92,434.72,146.62,511.82,657.13,293.33,291.3
Langlopende verplichtingen:
Langetermijnschulden 10,84210,59413,28616,03614,77014,64414,87516,46314,44210,56510,3939,5098,5565,5174,3553,693.5173,794.4664,663.9423,591.3383,944.186,097.4186,028.5496,215.7093,573.0473,183.23,285.41,069.1637.2613.4394.2446.9374.3341.2331.7292.5191.5125.3504.31,013.7
Uitgestelde opbrengsten niet-vlottend 17501371,0499671,1531,0821,4951,4341,5016702,1691,7321,2620000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1406194194911,4411,6501,8801,0751,2961,7081,4931,7311,6360000000000000000000000000
Overige niet-vlottende verplichtingen 2,0462,4732,3492,4852,8103,1971,8371,5301,0281,3171,1691,1501,2521,0442,6223,238.2661,616.2861,293.518874.651822.222869.559796.063877.4931,313.563702.5754.7702.8587.1568.4558.2495.4191.1187.5154.5144.8141.9122.790.9100
Totaal niet-vlottende verplichtingen 13,20313,12815,86619,58919,03820,43519,44421,36817,97914,67913,94014,32113,2719,4596,9776,931.7835,410.7525,957.464,465.9894,766.4026,966.9776,824.6127,093.2024,886.613,885.74,040.11,771.91,224.31,181.8952.4942.3565.4528.7486.2437.3333.4248595.21,113.7
Totaal passiva 26,59825,14626,22530,08032,13633,92134,72636,42732,10028,85527,46526,68923,80920,27514,23615,056.43312,915.60312,412.2559,980.7259,467.60213,761.70713,275.5313,310.9878,877.5157,360.27,958.85,401.84,698.73,946.13,739.13,510.62,775.93,000.62,920.92,583.92,845.22,905.13,888.54,405
Eigen vermogen:
Preferente aandelen 000004244194512721991661071292181090000.47900000000000000000000
Gewone aandelen 11,62411,83712,60812,97013,07813,13212,97512,80112,69312,49512,19211,91211,63911,9204,7774,667.9994,136,3633,381,9462,750.572,454.2192,258.4882,170.9652,045.4371,963.9051,820.21,539.4931.1818.800000000000
Ingehouden winsten 13,49710,7198,1997,01818,75131,65832,19036,47040,87041,33337,96632,88728,86025,21022,01919,890.84215,461.76711,118.4797,999.776,287.9055,505.7445,560.7128,314.7668,223.4767,916.68,882.58,061.77,137.76,654.16,350.46,106.56,0635,690.65,161.94,877.44,721.31,146.54,539.46,900.9
Overige gereserveerde algehele resultaten -4,254-3,855-3,570-4,884-4,438-4,622-4,274-4,643-4,558-4,206-2,554-3,888-3,557-2,768-2,674-2,900.785-1,172.999-1,168.749-1,045.479-940.993-374.704-547.181-286.838-139.204-137.2-81.5-48.1-14.200000000000
Overige totale aandeelhoudersvermogen -678-712-1,951-2,615-3,215-4,006-4,049-3,550-13,372-11,772-8,135-6,160-5,679-3,136-5,002-4,795.687-4,135,775.88-3,381,475.847-2,113.755-1,684.394-1,508.239-1,578.358-1,694.884-1,752.961-1,878.6-2,221.3-2,249.8-2,315.9-1,690.1-1,767.4-1,700.2-1,832.2-1,837.7-1,907.1-1,979.5-1,966.32,689.4-416.1-23.7
Totaal eigen vermogen van aandeelhouders 20,18917,98915,28612,48924,17636,58637,26141,52935,90538,04939,63534,85831,39231,44419,22916,862.36914,875.88810,419.8837,591.5856,116.7375,881.2895,606.1388,378.4818,295.2167,7218,119.16,694.95,626.44,9644,5834,406.34,230.83,852.93,254.82,897.92,7553,835.94,123.36,877.2
Totaal eigen vermogen 21,35918,29315,56812,90724,59237,01037,68041,98036,17738,24839,80134,96531,52131,66219,33816,934.29214,937.76910,419.8838,096.7676,533.1756,279.6196,159.6659,015.388,295.2167,7218,119.16,694.95,626.44,9644,5834,406.34,230.83,852.93,254.82,897.92,7553,835.94,123.36,877.2
Totaal passiva en aandeelhoudersvermogen 47,95743,13541,51142,56956,31270,50771,98777,95668,00566,90467,10061,54755,20151,71933,46531,990.72527,853.37222,832.13818,077.49216,000.77720,041.32619,435.19522,326.36717,172.73115,081.216,077.912,096.710,325.18,910.18,322.17,916.97,006.76,853.56,175.75,481.85,600.26,7418,011.811,282.2