Standard Motor Products, Inc.

NYSE:SMP

32.39 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 32.52621.1521.75519.48810.37211.13817.32319.79618.813.7285.55913.07410.87112.13510.6186.60813.26122.34814.04614.93419.6479.697.4967.69940.423.516.84.710.92.812.3172410.7423.522.821.120.5
Kortetermijnbeleggingen 1.944000000000000000000007.200000000000000000
Liquide middelen en kortetermijnbeleggingen 32.52621.1521.75519.48810.37211.13817.32319.79618.813.7285.55913.07410.87112.13510.6186.60813.26122.34814.04614.93419.64716.897.4967.69940.423.516.84.710.92.812.3172410.7423.522.821.120.5
Nettovorderingen 160.282167.638180.604198.039135.516157.535140.057134.63123.853126.524125.20198.565104.115104.986124.823174.401204.445183.664176.294151.352174.223117.644117.965106.261119.6122151156.8112.411097.883.878.381.2108.791.779.772.356.7
Voorraad 525.315548.41491.023365.134387.943370.295326.411312.477285.793278.051269.447267.468248.097241.158199.752232.435252.277233.97243.297258.641253.754174.785177.291234.257188.4174.1189229.2206.3185.9164.2153.2178.6214.3182.8161.8117.6109.764.5
Overige vlottende activa 26.125.24117.82315.87515.6027.25612.347.94551.29447.7345.8739.44637.68826.42729.0211.6545.37321.85622.05322.28920.54719.04126.19724.54226.322.933.727.835.930.229.511.310.614.717.54.93.31.20.2
Totaal vlottende activa 744.223762.439711.205598.536549.433546.224496.091514.848479.74466.033446.077418.553400.987384.706364.214447.595503.107461.838455.69447.216468.171328.36328.949372.759374.7342.5390.5418.5365.5328.9303.8265.3291.5320.9313281.9223.4204.3141.9
Niet-vlottende activa:
Materiële vaste activa, netto 221.937156.986143.255119.063125.66990.75489.10378.49968.88264.61163.64664.42264.03960.66661.47866.90171.77580.09185.80597.425112.549103.822101.646104.536106.6109.4126126.9109.5104.1103101.596.293.686.47150.443.130.6
Goodwill 134.729132.087131.65277.83777.80267.32167.41367.23154.88154.97538.00535.82726.1241.4371.4371.141.56656.289000000000000000000000
Immateriële activa 92.318100.504106.23454.00464.86148.41156.26164.01229.38834.37934.8736.58331.71811.0512.36815.18516.325067.40269.91171.84316.68338.0440.68541.639.230.734.400000000000
Goodwill en immateriële activa 227.047232.591237.886131.841142.663115.732123.674131.28784.26789.37772.86672.37357.84212.48713.80516.28557.89156.28967.40269.91171.84316.68338.0440.68541.639.230.734.400000000000
Langetermijnbeleggingen 31.51841.74544.08740.50738.85832.46931.18419.92420.62220.0046.308-11.085-16.937-21.347-29.542000000000000000000000000
Belastingvorderingen 40.53333.65836.12644.7737.27242.33432.4210.510.73714.94110.27811.08516.93721.34729.54228.04525.80924.43400018.69200000000000000000
Overige niet-vlottende activa 27.79927.5125.40221.82318.83515.61915.09513.63916.81618.58516.34821.24627.85434.94244.96216.20119.5117.4444.14742.01741.96223.20140.79431.41633.130.529.94537.229.416.58.15.17.66.613.41.82.2
Totaal niet-vlottende activa 548.834492.49486.756358.004363.297296.908291.476253.849201.324207.518169.446158.041149.735108.095120.245127.432174.985178.254197.354209.353226.354162.398180.48176.637181.3179.1186.6206.3146.7133.5119.5109.6101.3101.2937253.844.932.8
Totaal activa 1,293.0471,254.9291,197.961956.54912.73843.132787.567768.697681.064673.551615.523576.594550.722492.801484.459575.027678.092640.092653.044656.569694.525490.758509.429549.396556521.6577.1624.8512.2462.4423.3374.9392.8422.1406353.9277.2249.2174.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 107.45589.247137.167100.01892.53594.35777.9983.87872.71170.67471.46962.28350.8849.91954.38168.31264.38453.78352.53546.48758.02935.74426.1156.61241.748.436.430.636.640.541.427.133.932.725.60000
Kortlopende schulden 5.02955.031128.41510.13556.91649.06661.69954.85547.44356.73321.46540.57373.10965.28958.497193.884164.777140.341149.778109.95103.0537.4775.85952.57331.62680.392.124.526.61015.399.1109.8102.887.124.3614.7
Belastingschulden 000000000000000000000000000000000000000
Uitgestelde opbrengsten -5.02933.6580068.47388.69635.91640.17638.81230.62131.46429.03325.07423.20720.44238.28744.64442.47472.11554.336101.53516.34118.1670000000000000000
Overige kortlopende verplichtingen 196.808145.195210.787192.44991.5480.467110.292104.93284.9592.80195.91890.28379.81876.41671.30342.51346.22841.92711.49441.68314.22151.86650.45775.48395.689.896.48472.272.648.23227.432.520.448.646.646.920.7
Totaal kortlopende verplichtingen 304.263323.131476.369302.602309.464312.586285.897283.841243.916250.829220.316222.172228.881214.831204.623342.996320.033278.525285.922252.456276.838111.428100.593184.668168.9164.2213.1206.7133.3139.799.674.4160.4175148.8135.770.952.935.4
Langlopende verplichtingen:
Langetermijnschulden 240.156225.29831.22722.54728.5050.1530.0790.120.0620.0830.0160.0750.190.30717.9080.27390.53497.97998.549114.236114.757169.44200.066150.018163.9133.7159.1172.4148.7109.9130.5136.173.390.2103.260.55456.218.3
Uitgestelde opbrengsten niet-vlottend -21.339-26.836-26.576-11.617-11.044-9.748-6.59700000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 21.33926.83626.57611.61711.0449.7486.59700000000000000000003.14.25.74.93.63.33.75.88.46.46.24.50
Overige niet-vlottende verplichtingen 97.75585.46277.73881.15570.53363.19247.93743.70845.10748.48645.75946.7649.69867.7868.0568.21379.16172.88982.86682.56576.88956.00923.08320.40519.718.718.418.614.112.811.400.10.1-0.10.1000.1
Totaal niet-vlottende verplichtingen 337.911310.76108.965103.70299.03863.34548.01643.82845.16948.56945.77546.83549.88868.08785.95868.486169.695170.868181.415196.801191.646225.449223.149170.423183.6152.4180.6195.2168.5127.6145.5139.477.196.1111.56760.260.718.4
Totaal passiva 642.174633.891585.334406.304408.502375.931333.913327.669289.085299.398266.091269.007278.769282.918290.581411.482489.728449.393467.337449.257468.484336.877323.742355.091352.5316.6393.7401.9301.8267.3245.1213.8237.5271.1260.3202.7131.1113.653.8
Eigen vermogen:
Preferente aandelen 5.974000000.1090.0280.47400.2140.12100.28400.2010.4547.541000000000000000000000
Gewone aandelen 47.87247.87247.87247.87247.87247.87247.87247.87247.87247.87247.87247.87247.87247.87247.87240.97240.97240.97240.97240.97240.97226.64926.64926.64926.600000000000000
Ingehouden winsten 573.226564.242532.319463.612417.437380.113357.153336.464291.481259.16228.036186.693153.55597.53580.08376.6106.147112.481109.649120.218141.553148.686183.532190.253184.8181.7161.5200.2189.8177.9158.5145.2140.5138134.5125.5120.5108.494
Overige gereserveerde algehele resultaten -5.974-12.47-8.169-5.676-8.589-9.594-4.109-11.028-6.474-2.6521.7863.8793.2990.7165.4757.7995.546-3.5414.1584.8054.814-2.581-3.722-0.5910.7-96.1-102.8-88.9-75-63.2-52.9-42.9-36.8-34.2-30.3-25.8-20.5-17.4-14.6
Overige totale aandeelhoudersvermogen 13.96610.37629.55844.42847.50848.8152.62967.69258.62669.77371.52469.02267.22763.47660.44837.97335.24533.24630.92841.31738.702-18.873-20.772-22.006-8.6119.9125.111295.680.472.658.851.647.241.551.546.144.641.5
Totaal eigen vermogen van aandeelhouders 635.064610.02601.58550.236504.228467.201453.654441.028391.979374.153349.432307.587271.953209.883193.878163.545188.364190.699185.707207.312226.041153.881185.687194.305203.5205.5183.8223.3210.4195.1178.2161.1155.3151145.7151.2146.1135.6120.9
Totaal eigen vermogen 650.873621.038612.627550.236504.228467.201453.654441.028391.979374.153349.432307.587271.953209.883193.878163.545188.364190.699185.707207.312226.041153.881185.687194.305203.5205183.4222.9210.4195.1178.2161.1155.3151145.7151.2146.1135.6120.9
Totaal passiva en aandeelhoudersvermogen 1,293.0471,254.9291,197.961956.54912.73843.132787.567768.697681.064673.551615.523576.594550.722492.801484.459575.027678.092640.092653.044656.569694.525490.758509.429549.396556521.6577.1624.8512.2462.4423.3374.9392.8422.1406353.9277.2249.2174.7