Schlumberger Limited

NYSE:SLB

44.33 (USD) • At close November 12, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 4,2753,4921,928-10,486-10,1072,177-1,513-1,6272,1355,7116,8435,4685,0134,2663,1425,396.9515,176.5163,709.8512,198.9951,014.052472.557-2,417.529522.217734.596366.71,014.21,295.7851.5649.2536.1582.8661.6815.7570.3420
Afschrijvingen & Amortisatie 1,7592,1472,1202,5663,5893,5563,8374,0944,0784,0943,6663,5003,2812,7592,4762,268.5081,953.9871,561.411,350.9691,307.9311,570.8511,545.0531,896.1191,270.7541,020.91,136.3972.5885.2820.2776.2790.2708.8659.6552.3519.7
Uitgestelde Inkomstenbelasting 28-39-31-1,248-1,011-398-60-63-273-105-76-35-109373-5.69821.8664.59830.4826.774-12.286-48.70214.216-20.757-21.7-7646.5-26.20000000
Aandelen Gebaseerde Vergoedingen 293313324397405345343267326329315335272198186171.5590000000000000000000
Verandering in Werkkapitaal -216-1,709404-839-327-405-683-246-276-564-547-2,180-2,045-23-218-837.989-831.022-496.423-382.053-668.142-313.656138.241-939.757-1,102.599-29-136.3-657.5-262.8-248.5-371.674.9-239-201.4-34.2-116.6
Vorderingen -659-1,728-362,411504031808851,593-177-1,514-2,3020015500000000000000000000
Voorraden -254-7377586-314-10108800625-36188-643-991-6764-299.142-356.294-222.142-180.099-166.69896.60672.383-259.29-194.64-43.6-122.6-184.4-144.8-99.3-37.42.717.4-3.718.7-1.3
Crediteuren 724704160-3,330-161-824-737-1,680-2,656-3665492800-64500000000000000000000
Overig Werkkapitaal -2752205-69826-234-251162-315125-163-1,05444208-538.847-474.728-274.281-201.954-501.444-410.26265.858-680.467-907.95914.6-13.7-473.1-118-149.2-334.272.2-256.4-197.7-52.9-115.3
Overige Niet-Contante Posten 498-484-9412,55412,882793,6713,8332,3721,922-386-359-317-1,597-693-95.649144.106138.235-202.4826.232-21.83-144.158-141.132831.922-182.5-42.331.6-73.2-26.62.47.6-132.6-265.7-110.8-52.2
Kasstroom uit Operationele Activiteiten 6,6373,7204,6512,9445,4315,7135,6636,2618,57211,2199,7866,6886,1695,4945,2666,897.6826,258.9384,781.4093,003.8851,896.6652,104.5842,216.5581,568.1721,709.1181,520.62,303.11,7081,402.11,194.3943.11,455.5998.81,008.2977.6770.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,092-1,715-1,180-1,217-1,955-2,260-2,383-2,685-2,896-4,297-4,337-5,046-4,016-2,914-2,625-4,068.184-3,191.041-2,467.807-1,592.511-1,215.847-1,025.264-1,365.996-2,052.635-1,323.015-927.3-1,887.4-1,496-1,158-938.8-782.8-691.1-809.5-921.3-675.4-662.3
Netto Overnames -1058976401563287-847-2,398-443-1,008-1,210-845-186-702-514-345.164-1,118.69-584.097-108.782-42.834356.774-176.586-5,231.449-920.6030000000037.900
Aankoop van Beleggingen -692-587-474-1,444-781-981-1,609-1,031-6,801-740-648-1,2284,0162,91400-88.815-2,406.331-706.7621,712.614-1,145.7630.293933.777149.494-295.1-2,292.2-846.2-218.900-181.3-172.6-120.200
Verkoop/verval van Beleggingen 2142497871,2173171,9433,2775,5442,8964464,3375,0463511,023000700.986361.8471,368.333554.4451.3342,430.911551.6190000129.250.20157.6353.728.1108.4
Overige Investeringsactiviteiten -108-232-58-1,310-155-29-217-54-3,00819-4,147-4,089-3,690-3,259-885-729.207-201.75-339.4821.723-140.377-226.869-559.499-416.188-286.727-388.6103.1282.2-15.6-131.5-66.5-494.862.8-9.7-96.2329.5
Kasstroom uit Investeringsactiviteiten -2,783-1,388-919-2,353-2,011-1,040-1,779-624-10,252-5,580-6,005-6,162-3,525-2,938-4,024-5,142.555-4,600.296-5,096.731-2,044.4851,681.889-1,486.619-1,420.454-4,335.584-1,829.232-1,611-4,076.5-2,060-1,392.5-941.1-799.1-1,367.2-761.7-659.6-743.5-224.4
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000000000000000000000
Uitgifte van Gewone Aandelen 1,2772231376,1394,1791,07429741503,6665,1283,8637,32217996177.189622.058441.5450278.1081,572.105175.085121.76229.37623.5139.2145.6180.173.761.670.869.872.862.639.8
Terugkoop van Gewone Aandelen -694-93-24-26-278-400-969-778-2,182-4,678-2,596-972-2,998-1,717-500-1,818.841-1,355-1,067.842-611.641-320.22400000000-40.6-148.1000-81.8-59.4
Uitgekeerde Dividenden -1,317-848-699-1,734-2,769-2,770-2,778-2,647-2,419-1,968-1,608-1,432-1,300-1,040-1,006-964.14-771.35-567.673-481.583-441.219-437.023-433.134-430.328-426.465-410.5-388.4-370.8-366.8-327.2-292.4-290.8-288.6-286.2-285.5-285.4
Overige Financieringsactiviteiten -200-14-162-89-51-63-696-13181-381819-6133,0511,9761,382.47875.2313,000.716102.504-181.529-1,693.42-554.2353,092.966345.338-95.31,980.5556.7241.8111.3458155.1-17-144.164.5-229.3
Kasstroom uit Financieringsactiviteiten -2,512-2,382-2,824-873-3,718-5,020-5,033-5,4281,374-5,896-2,199-339-2,700-1,409-1,188-1,824.408-1,630.428290.506-990.72-3,590.416-558.338-812.2842,784.398148.243117.71,731.3331.555.1-238.4-150-64.9-235.8-357.5-240.2-534.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -972615-112-1919-73-31-85-1513-300-2.4063.202-0.321-1.2291.1736.4556.5860000-0.10.1-253.2-144-88.3-237.1-348.6-234.1-546.5
Netto Kasstroomverandering 1,2451,724913-293-296-366-1,130136-337-3421,567200-591,14754-8.30531.416-25.137-32.549-10.68966.082-9.59416.98628.12927.3-42.1-20.664.8-238.4-150-64.9-235.8-357.5-240.2-534.3
Kaspositie aan het Einde van de Periode 2,900-9,3321,7578441,1371,4331,7992,9292,7933,1303,4721,9051,7051,764243188.928197.233165.817190.954223.503234.192168.11177.704160.718132.6105.3116.7137.3-180.7-86.3-24.6-196.8-309.6-186.3-492.6