Stewart Information Services Corporation

NYSE:STC

69.05 (USD) • At close December 27, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 233.365248.367485.919432.683330.609192.067150.079185.772179.067200.558194.289208.538117.196144.564116.186.246109.239136.137134.734121.383114.202139.15660.70635.72836.80344.88330.39118.48416.69816.2000000000
Kortetermijnbeleggingen 39.02324.31817.6520.67823.52722.95733.818653.742619.55625.04238.33637.02533.137429.77424.19437.1279.78161.711206.717181.195153.32250.67356.26753.74867.45559.44635.76131.94628.2380000000000
Liquide middelen en kortetermijnbeleggingen 223.365272.685503.569453.361354.136215.017883.897839.514798.623225.6232.625245.563150.333574.338140.294123.366189.019297.848341.451302.578267.524189.829116.97389.476104.258104.32966.15250.4344.93616.2000000000
Nettovorderingen 000072.00371.46278.51671.77681.6710104.667100.68888.76178.682125.282106.098129.762110.46788.66280.27779.02569.04152.03657.03948.5846.73231.86831.6167.24229.432.7262626.128.50000
Voorraad 00-694.769-621.573-494.6560-709.355-631.503-579.8490000-396.317-18.129-27.19200000000000000000000000
Overige vlottende activa 00000507.615607.306538.336507.92400421.857560.019530.448753.490716.512656.839612.766531.061486.538413.021365.27300.094277.031261.603247.468233.644263.881249.8000000000
Totaal vlottende activa 223.365204.176622.909541.173426.139794.094860.364818.123808.369286.254288.362768.108799.113787.1511,000.9371,067.9811,035.2931,065.1541,042.879913.916833.087671.891534.279446.609429.869412.664345.488315.69316.059295.432.7262626.128.50000
Niet-vlottende activa:
Materiële vaste activa, netto 271.573282.727283.893231.013222.116135.531141.259145.819147.112152.132131.088132.074133.843138.966149.05483.533180.7173.307147.38137.813119.696103.49790.61380.14674.23162.20253.77651.14724.27124.835.117.715.416.6180000
Goodwill 1,072.1291,072.982924.837431.477248.89248.89231.428217.094217.722251.868231.838220.955214.492206.861212.763210.901208.824204.302155.624124.63679.08466.88552.97136.69331.64123.61518.42716.53511.0290000000000
Immateriële activa 193.196199.084229.80437.3824.6239.7279.73410.8918.07526.31113.057.0158.6938.2286.406219.34917.15715.44415.26816.98800000000053.73.33.74.23.50000
Goodwill en immateriële activa 1,265.3251,272.0661,154.641468.859253.513258.617241.162227.984235.797278.179244.888227.97223.185215.089219.169219.349225.981219.746170.892141.62479.08466.88552.97136.69331.64123.61518.42716.53511.02953.73.33.74.23.50000
Langetermijnbeleggingen 0734.401696.864705.065668.566658.967733.818653.742619.556166.634125.11595.70533.137429.774226.20137.1295.59178.85223.104201.009169.51661.34768.42565.52871.21666.814184.761238.098220.1170000000000
Belastingvorderingen 00.2933.8464.334.407-453.666-481.656-475.6034.9499.880.1447.56227.44928.23612.95711,89613.50914.13915,78429.3350000000000000000000
Overige niet-vlottende activa 942.598-2,324.894-3.846-4.33-4.407-20.613-89.061-28.341-494.196499.399536.46159.758-60.586-458.01-239.158-11,854.757-109.099-192.989-16,007.104-230.344-169.516-61.347-68.425-65.528-71.216-66.814-184.761-238.098-220.1170-38.8-21-19.1-20.8-21.50000
Totaal niet-vlottende activa 2,479.496-35.4072,135.3981,404.9371,144.195578.836545.522523.601513.2181,106.2241,037.696523.069357.028354.055368.223381.245406.681393.053318.272279.437198.78170.382143.584116.839105.87285.81772.20367.68235.329.838.82119.120.821.50000
Totaal activa 2,702.8612,737.8792,813.3621,978.5751,592.7851,372.931,405.8861,341.7241,321.5871,392.4781,326.0581,291.3751,156.1411,141.2061,369.161,449.2261,441.9741,458.2071,361.1511,193.3531,031.867842.273677.863563.448535.741498.481417.691383.372351.359325.2313.9251.9219.1201.3197.8193.9182.4178.5132
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000000000000000000000040.39940.65225.18924.61420.5590000000000
Kortlopende schulden 00098.87598.87598.87598.87592.875102.39900011.7228.784202.007222.684108.714109.549049.9300032.54319.17.37.600033.277.28.20000
Belastingschulden 000000001.91409.4773.2597.4120.651040,40638.0849.28503.02200000.4521.9631.3640.4190.4820000000000
Uitgestelde opbrengsten 0-549.448-549.614-126.305-27.904-109.283-117.74-115.64-118.082000000000000000000000000000000
Overige kortlopende verplichtingen 190.05400-98.875-98.875-98.875389.515379.397-104.3130-9.477519.116-19.134-9.435-202.007-40,628.684-146.798-118.8340-52.952000-32.543-59.951-49.915-34.153-25.033-21.0410-3-3.2-7-7.2-8.20000
Totaal kortlopende verplichtingen 190.054460.328462.06798.87598.875591.369624.363593.716589.907633.7637.9651.2629.7632.9635.1597.4605.5563.4524.4456.1393.2341.3276.3253244.8229.1196.8184.5169.2033.277.28.20000
Langlopende verplichtingen:
Langetermijnschulden 580.9440632.908180.51511.7579.16110.43793.308102.39965.56232.94671.16872.83570.522269.59294.02882.40492.46970.39639.86624.58314.19513.79432.543-0.0468.89419.112.32412.5897.93.44.26.86.65.37.355.50
Uitgestelde opbrengsten niet-vlottend -160.6990000-98.87500000-0.198000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 25.04526.61648.77923.85228.71914.21419.0347.8561.35613.4853.1742.84327.4490011.89613.50914.13915.78429.33522.4411.28400000000000000000
Overige niet-vlottende verplichtingen 718.323743.9910761.802798.55669.718209.215591.712580.704612.97889.761114.617-100.284-70.522-269.59-305.924-95.913-106.608-86.18-69.201-47.023-25.479-13.794-32.5430.046-8.894-19.1-12.324-12.589-7.9-3.4-4.2-6.8-6.6-5.3-7.3-5-5.50
Totaal niet-vlottende verplichtingen 1,324.312460.328681.687244.714253.194108.036109.312106.808102.39965.632.971.276.273.1285.835882.492.570.439.917.37.4715.468.911.47.97.37.93.44.26.86.65.37.355.50
Totaal passiva 1,324.3121,367.614681.687966.169839.026693.104727.076692.876684.459692.025662.969711.003692.684692.873907.094942.157672.205638.673576.156481.558397.259337.785274.09261.458244.144232.535203.795188.107171.942164.1152.6119100.783.678.977.167.271.756.3
Eigen vermogen:
Preferente aandelen 00000000000000000.15800.372000003.65600000000000000
Gewone aandelen 27.723324.344309.622301.937188.279186.703184.026180.959180.385203.563194.768153.441152.102143.264145.53143.81118.36218.55718.4818.44618.35218.05717.91815.16814.6967.0656.9066.7416.390000000000
Ingehouden winsten 1,070.8411,091.816974.8688.819564.392514.248491.698471.788455.519479.733452.314391.447284.097282.666296.116353.547597.118649.598619.232543.295469.107353.226258.746210.06209.454190.363145.14131.496118.547112.8106.383.669.868.87071.870.962.156.7
Overige gereserveerde algehele resultaten -35.215-51.3430.25317.022-2.699-24.771-0.847-8.881-3.95712.55510.88226.58316.68113.6110.960.58119.8428.0615.62813.78815.0199.3444.1491.888-3.6566.1294.5361.923.970000000000
Overige totale aandeelhoudersvermogen 308.062294.195279.71272.191161.551159.976157.288154.51154.026176.539169.249131.019129.78120.083122.492121.096118.737126.046122.973121.784118.911122.003113.72767.97364.4356.88652.96250.82945.9443.649.9454545.1454544.344.719
Totaal eigen vermogen van aandeelhouders 1,371.4111,362.1511,282.0091,005.112747.306673.514672.211641.2629.281693.185655.298568.805450.214435.21448.276493.842754.059802.262766.313697.313621.389493.592394.54295.089284.924260.443209.504190.99174.852156.4156.2128.6114.8113.9115116.8115.2106.875.7
Totaal eigen vermogen 1,378.5491,370.2651,294.7351,012.406753.759679.826678.81648.848637.128700.453663.089580.372463.457448.333462.066507.069769.769819.534784.995711.795634.608504.488403.773301.99291.597265.946213.896195.265179.417161.1161.3132.9118.4117.7118.9116.8115.2106.875.7
Totaal passiva en aandeelhoudersvermogen 2,702.8612,737.8792,813.3621,978.5751,592.7851,372.931,405.8861,341.7241,321.5871,392.4781,326.0581,291.3751,156.1411,141.2061,369.161,449.2261,441.9741,458.2071,361.1511,193.3531,031.867842.273677.863563.448535.741498.481417.691383.372351.359325.2313.9251.9219.1201.3197.8193.9182.4178.5132