Sensata Technologies Holding plc

NYSE:ST

32.67 (USD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 508.1041,225.5181,708.9551,861.98774.119729.833753.089351.428342.263211.329317.896413.53992.127493.662148.46877.71660.057
Kortetermijnbeleggingen -0000008.98529.16123.18700000000
Liquide middelen en kortetermijnbeleggingen 508.1041,225.5181,708.9551,861.98774.119729.833753.089351.428342.263211.329317.896413.53992.127493.662148.46877.71660.057
Nettovorderingen 744.129742.382653.438576.647557.874581.769556.541500.211467.567444.852291.723258.114261.425198.245180.839145.759212.234
Voorraad 713.485644.875588.231451.005506.678492.319446.129389.844358.701356.364183.395176.233197.542140.949125.375139.228155.513
Overige vlottende activa 2,100,438.282162.268252.74180.68253.962226.46892.532100.002218.784106.21962.61746.79442.07232.13132.60543.2638.679
Totaal vlottende activa 2,102,4042,775.0433,076.9942,979.9721,965.6521,917.1551,848.2911,341.4851,277.9231,118.764862.648897.237593.166864.987486.966405.963466.483
Niet-vlottende activa:
Materiële vaste activa, netto 886.01840.819820.933803.825830.998787.178750.049725.754694.155589.484344.657328.199339.934234.813219.938255.164266.855
Goodwill 3,542.773,911.2243,502.0633,111.3493,093.5983,081.3023,005.4643,005.4643,019.7432,424.7951,756.0491,754.1071,746.8211,528.9541,530.571,536.7731,556.002
Immateriële activa 883.671999.722946.731691.549770.904897.191920.1241,075.4311,262.572910.774502.388603.883737.56723.144865.5311,033.3511,179.669
Goodwill en immateriële activa 4,426.4414,910.9464,448.7943,802.8983,864.5023,978.4933,925.5884,080.8954,282.3153,335.5692,258.4372,357.992,484.3812,252.0982,396.1012,570.1242,735.671
Langetermijnbeleggingen 3.69761.7544.7876.0323.0843.4751.4286.23538.34529.10219.13222.11926.47725.74241.14755.5261.717
Belastingvorderingen 131.527100.539105.02884.78521.1527.97133.00320.69526.41716.7524.02337.6714.0864.5265.5433.682.169
Overige niet-vlottende activa 130.90867.119157.23166.69149.13383.41583.16665.91218.126.9410.3446.4328.6075.83117.17512.9322.613
Totaal niet-vlottende activa 5,578.5835,981.1775,536.7724,864.234,868.8674,880.5324,793.2344,899.4915,059.3323,997.8452,656.5932,752.4112,863.4852,523.012,679.9042,897.4183,089.025
Totaal activa 7,680.9878,756.228,613.7667,844.2026,834.5196,797.6876,641.5256,240.9766,337.2555,116.6093,519.2413,649.6483,456.6513,387.9973,166.873,303.3813,555.508
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 482.301531.572459.093393.907376.968379.824322.671299.198290.779287.8177.539152.964155.346132.828122.83464.25126.623
Kortlopende schulden 13.734266.44217.868768.59418.46114.56115.7214.643300.439145.9798.112.87813.74116.77934.278228.3641.517
Belastingschulden 32.13943.98726.51719.21535.23427.42931.54423.88921.9687.5165.7859.4096.0126.8558.3849.2963.277
Uitgestelde opbrengsten 0100,539364.742324.418248.935237.849256.01243.304246.28315.089118.3990.04600100.94897.045128.473
Overige kortlopende verplichtingen 295.544336.971332.781313.441204.083218.13259.56245.566251.989221.122127.068103.112104.15398.63876.02588.394133.648
Totaal kortlopende verplichtingen 823.7181,178.972836.259745.157634.746639.944629.495583.296865.175677.506325.509281.12279.252255.1241.521390.3305.065
Langlopende verplichtingen:
Langetermijnschulden 3,426.2254,016.3914,277.2513,284.9853,294.1523,280.9983,283.2883,291.323,338.8972,740.971,764.7111,811.7771,821.9691,829.8932,283.6872,282.8272,520.963
Uitgestelde opbrengsten niet-vlottend 0364,59338.75848.00236.133.95840.05534.87834.31435.79919.50832.74722.28743.02149.52556.36131.915
Uitgestelde belastingverplichtingen niet-vlottend 359.073364.593339.273259.857251.033225.694338.228392.628390.49362.738294.764270.402262.091179.089165.477134.13994.794
Overige niet-vlottende verplichtingen 75.69585.45766.24998.71780.83342.61744.88831.72574.11732.503-7.331332.43226.10130.09239.50234.42236.461
Totaal niet-vlottende verplichtingen 3,860.9934,466.4414,682.7734,393.5593,626.0183,549.3093,666.4043,715.6733,803.5043,136.2112,052.1442,146.2342,132.4482,125.1162,538.1912,507.7492,684.133
Totaal passiva 4,684.7115,645.4135,519.0325,138.7164,260.7644,189.2534,295.8994,298.9694,668.6793,813.7172,377.6532,427.3542,411.72,380.2162,779.7122,898.0492,989.198
Eigen vermogen:
Preferente aandelen 000000.1780.1640.067000.1070.4060.2240.458000
Gewone aandelen 2.2492.2422.2322.222.2122.2032.2892.2892.2892.2892.2892.2892.2642.2241.8251.8191.819
Ingehouden winsten 2,295.6042,383.3412,132.2571,777.7291,616.3571,340.6361,031.612636.841391.24767.233-187.792-316.368-491.164-497.638-627.688-600.007-465.476
Overige gereserveerde algehele resultaten 9.962-16.264-19.56-49.535-20.484-26.178-63.164-34.067-25.99-11.748-33.107-39.406-23.224-27.458-37.199-44.467-16.048
Overige totale aandeelhoudersvermogen 688.461741.488979.805975.072975.671,291.7731,374.8891,336.9441,301.031,245.1181,360.1981,575.7791,557.0751,530.6531,050.2371,048.0041,046.032
Totaal eigen vermogen van aandeelhouders 2,996.2763,110.8073,094.7342,705.4862,573.7552,608.4342,345.6261,942.0071,668.5761,302.8921,141.5881,222.2941,044.9511,007.781387.158405.332566.31
Totaal eigen vermogen 2,996.2763,110.8073,094.7342,705.4862,573.7552,608.4342,345.6261,942.0071,668.5761,302.8921,141.5881,222.2941,044.9511,007.781387.158405.332566.31
Totaal passiva en aandeelhoudersvermogen 7,680.9878,756.228,613.7667,844.2026,834.5196,797.6876,641.5256,240.9766,337.2555,116.6093,519.2413,649.6483,456.6513,387.9973,166.873,303.3813,555.508