SPX Technologies, Inc.

NYSE:SPXC

163.11 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 99.4147.8388.268.354.768.8124.399.6101.4427.6691.8984.1551455.4522.9475.9354.1477.2576.3581.4721.6555.946073.778.870.312.112.317.19.9117.89.711.112.522.19.46.77.86.1
Kortetermijnbeleggingen 7.58.70000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 99.4147.8388.268.354.768.8124.399.6101.4427.6691.8984.1551455.4522.9475.9354.1477.2576.3581.4721.6555.946073.778.870.312.112.317.19.9117.89.711.112.522.19.46.77.86.1
Nettovorderingen 296.4287.4252.3352.9329.3360.3267.5251.73671,067.41,206.71,3331,416.31,164.81,046.31,306.91,299.91,127961.8980.41,002.51,053.3976.2547.7473.7458.7172.896.5130.2128.5156.984.989120.8101.1131.4108.888.482.3
Voorraad 276.7244189.8162154.9128.8143145.7170.7497.8502.2555.6719.6564.3560.3667703.8514.3463.4509.5652.3632.5625.5299.6274282.192.9109.3150.9151.8159.2171.6175.5197182.7207.8162151.4155.8
Overige vlottende activa 37.141.973.199.193.240.597.730.636.198.5104.3149.9140.5176.1126.9265.6173.7282.7180.41,657.887.9331.4367.3141.9150164.6105.719065.3116.184.341.555.64734.434.633.114.311.2
Totaal vlottende activa 709.6721.1903.4682.6632.1598.4632.5527.6782.32,215.12,772.93,1152,895.32,428.52,312.52,7912,629.42,458.52,228.33,870.82,661.72,573.12,4291,062.9976.5975.7383.5408.1363.5406.3518.2307.7331.2377.3340.3383.2310.6261.9255.4
Niet-vlottende activa:
Materiële vaste activa, netto 140.5109.9113.3189.7179.1184.2186.6195.5219.5670.9692.3745698.7545.2546.4500.6492.2374.6474.2497734.7784839.5492444.7433.1122.1123.9213214.9198.1116.8116.3117.9109.1196.9183.6188176.6
Goodwill 704.8455.3457.3499.9449.3394.4345.9340.4342.81,455.41,5171,5741,941.81,634.61,6001,779.71,979.11,762.21,812.22,076.82,932.42,685.900000000000000000
Immateriële activa 680.8401.6415.5305251.7198.4117.6117.9154.2831924.7962.41,088.2719.5708.3646.8727.44882,249.62,573.43,551.63,233.53,061.71,211.81,103.61,219.560.258.7192.3199.1204.194.998.396.398.990.437.537.738.8
Goodwill en immateriële activa 1,385.6856.9872.8804.9701592.8463.5458.34972,286.42,441.72,536.43,0302,354.12,308.32,426.52,706.52,250.22,249.62,573.43,551.63,233.53,061.71,211.81,103.61,219.560.258.7192.3199.1204.194.998.396.398.990.437.537.738.8
Langetermijnbeleggingen 39.435.838.8000.20564.4493.3-123.8-119.6-92.4-67.9-67.90-101.5-97.9-57.3-46.4-141.7-197.4-236.1-236.60000000000000000
Belastingvorderingen 42.7113.916.424.450.950.650.9123.8119.692.467.967.9114.7101.597.957.346.4141.7197.4236.1236.60000000000000000
Overige niet-vlottende activa 160.6204.5689.3616.6605.9657.5706.9116.1138.3729.8911.7733.7767.8555.5442.5382.3409.3353.8354.3647.3677500.9749.9397.9321.23401825.362.6111.410440.933.532.626.331.930.730.734.5
Totaal niet-vlottende activa 1,730.11,209.81,725.21,615.11,502.41,459.11,407.91,384.91,3993,687.14,045.74,015.14,496.53,454.83,411.93,309.43,6082,978.63,078.13,717.74,963.34,518.44,651.12,101.71,869.51,992.6200.3207.9467.9525.4506.2252.6248.1246.8234.3319.2251.8256.4249.9
Totaal activa 2,439.71,930.92,628.62,297.72,134.52,057.52,040.41,912.52,181.35,902.26,818.67,130.17,391.85,883.35,724.46,100.46,237.45,437.15,306.47,588.57,6257,091.57,080.13,164.62,8462,968.3583.8616831.4931.71,024.4560.3579.3624.1574.6702.4562.4518.3505.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 118.7124.5119.6138.5141.6153.6159.7137.6176.9462494.6571.4752.7538.8475.8634733.8521.1535516.7615.8515.3514.3289.4238.3226.691.55371.483.3635047.146.868.30000
Kortlopende schulden 35.23.815.2108.4143.649.97.532.731.2211.9585.642.175.587.1150.4189.3334.421167.5111.887.9280.3161.6097.749.12.81.40.91.1941415.715.530.34.172.12.9
Belastingschulden 5.34.742.10.42.23.51.21.71.743.773.1126.528.216.320.345.77.581158.900000000000000000000
Uitgestelde opbrengsten 73.552.844.7103.5100.879.5100.1117.8193.3375.4460.7476.428.216.31,007.81,201.91,050.2849.3683.2761.20000000000000000000
Overige kortlopende verplichtingen 173.8152.7260234.5222.6187.2193.7188.2253.4560.6633.5646.71,091.41,080.15.320.238.6142185424.4826.6824.5856.9347.7418.9403.7192.2120138.7137.5241.861.56054.355.6120.811478.672.8
Totaal kortlopende verplichtingen 401.2333.8439.5584.9608.6470.2461476.3654.81,609.92,174.41,736.61,947.81,722.31,639.32,045.42,1571,723.41,470.71,814.11,530.31,620.11,532.8637.1754.9679.4286.5174.4211221.9398.8125.5122.8116.6154.2124.912180.775.7
Langlopende verplichtingen:
Langetermijnschulden 523.1243230.8304249.9331.9349.3323.5342.61,157.81,0901,649.91,925.61,110.51,128.61,155.41,240.7753.6720.92,414.32,530.22,414.62,450.81,295.61,0171,466.5292.7227.9318.9414.1336160.3199.7226.1152.7231.1129.7142.3157.7
Uitgestelde opbrengsten niet-vlottend 434.85.83.43.32.1000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 7734.831.323.826.323.229.642.455.2294.9389.6251.1137.786.992.182.4246.6194.4345.1600.6850.8632.2752.6403.4322.4217.446.115.225.516.420.86067.664.962.62523.522.316.3
Overige niet-vlottende verplichtingen 239.8205.3818.3752.4744815.2885.8878.7820.41,018.5992.61,212.51,143.4859.6962.9788.9576.7652.8656.6627.8644.1720.5603.6192.1199.4214.5092.6113.8120.6123.418.9000.1000.10.1
Totaal niet-vlottende verplichtingen 843.9517.91,086.21,083.61,023.51,172.41,264.71,244.61,218.22,471.22,472.23,113.53,206.72,0572,183.62,026.72,0641,600.81,722.63,642.74,025.13,767.33,8071,891.11,538.81,898.4338.8335.7458.2551.1480.2239.2267.3291215.4256.1153.2164.7174.1
Totaal passiva 1,245.1851.71,525.71,668.51,632.11,642.61,725.71,720.91,8734,081.14,646.64,850.15,154.53,779.33,822.94,072.14,2213,324.23,193.35,456.85,555.45,387.45,339.82,528.22,293.72,577.8625.3510.1669.2773879364.7390.1407.6369.6381274.2245.4249.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.50.50.50.50.50.50.50.511,008.21,004.5998.9993.6986.7979972.3963.5937.4920.8899.9878.1868416.5357.7354.900000000000000
Ingehouden winsten 38.3-51.6-51.8-488.1-584.8-650.1-742.3-831.6897.82,637.82,303.12,696.62,488.32,358.62,2232,240.52,045.91,754.21,642622.6714.2478.2350.8177.8-11.7-113.2-63.8-48.71929.420.375.864.893.588.8201169.9157141.4
Overige gereserveerde algehele resultaten 261.1257.5263.9248.5244.3244.9250.1235.1283.362.6287.5-228.9-246.5-192.6-213.6-179.938.1-86.6-229.1294.3166.5-243.7-90.5-32.5-32.1-358-141.7-127.4-212.6-193.5-169.7-101.3-85.8-68.8-56.9-174.8-158.2-153.7-130.2
Overige totale aandeelhoudersvermogen 894.7872.8890.3868.3842.4819.6806.4787.6-836.7-1,890.7-1,437.1-1,197.9-1,008.1-1,055-1,097.6-1,022.1-1,041.5-495.6-222.5311308.4589.91,038.5105.2241.2861.7162.2282355.8322.8294.8221.1210.2191.8173.1295.2276.5269.6244.3
Totaal eigen vermogen van aandeelhouders 1,194.61,079.21,102.9629.2502.4414.9314.7191.6345.41,817.92,1582,268.72,227.32,097.71,890.82,010.82,0062,109.42,111.22,127.82,067.21,692.41,715.3608.2552.3390.5-43.3105.9162.2158.7145.4195.6189.2216.5205321.4288.2272.9255.5
Totaal eigen vermogen 1,194.61,079.21,102.9629.2502.4414.9314.7191.6308.31,821.12,1722,2802,237.32,1041,901.52,028.32,016.42,112.92,113.12,131.72,069.61,704.11,740.3636.4552.3390.5-41.5105.9162.2158.7145.4195.6189.2216.5205321.4288.2272.9255.5
Totaal passiva en aandeelhoudersvermogen 2,439.71,930.92,628.62,297.72,134.52,057.52,040.41,912.52,181.35,902.26,818.67,130.17,391.85,883.35,724.46,100.46,237.45,437.15,306.47,588.57,6257,091.57,080.13,164.62,8462,968.3583.8616831.4931.71,024.4560.3579.3624.1574.6702.4562.4518.3505.3