State Street Corporation

NYSE:STT

98.62 (USD) • At close June 6, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,14591,770105,563109,989120,42772,26776,31069,33472,24976,54595,37867,65453,52760,72025,54529,27358,91410,3127,60413,95922,66925,11429,50421,96822,91319,83213,45012,4919,1887,397.15,8526,617.66,087.74,847.64,347.53,102
Kortetermijnbeleggingen 58,89544,52640,57973,39959,04853,81545,14857,12161,99870,07094,91399,174109,68299,83281,881054,16370,32660,44500000000000000000
Liquide middelen en kortetermijnbeleggingen 62,04048,57344,549183,388179,475126,08248,74559,22863,3121,207190,2913,2202,590160,55225,54529,27358,91410,3127,60413,95922,66925,11429,50421,96822,91319,83213,45012,4919,1887,397.15,8526,617.66,087.74,847.64,347.53,102
Nettovorderingen 05,7454,4564,0443,9684,3084,1714,12825,38424,52804,7003,9304,4964,1453,2813,5824,0763,9463,6941,2041,015823880845717610566442392.1349281.1216.4206.4204.3200.9
Voorraad 000-188,588-184,286-99,367000001,482-6,787-165,356-2,794-2,233000-2,5170000000000000000
Overige vlottende activa 0598558141,871147,87298,290493364333284102,57928662,37872,76460,029121,265106,601123,67196,36781,03668,17659,55454,8780000000000000
Totaal vlottende activa 66,07454,9163,970140,715147,029129,3133,2122,1071,31426,01999,0109,68862,11172,45686,925151,586169,097138,059107,91796,17292,04985,68385,20522,84823,75820,54914,06013,0579,6307,789.26,201.46,898.76,304.15,0544,551.83,302.9
Niet-vlottende activa:
Materiële vaste activa, netto 3,5333,2042,8152,8032,8743,1402,2142,1862,0621,8941,9371,8601,7281,7471,8021,9532,0111,8941,5601,4531,4441,212887829726732700500468467.6474.7445.1412.8319.5212.7175.7
Goodwill 7,6917,6117,4957,6217,6837,5567,4466,0225,8145,6715,8266,0365,9775,6455,5974,5504,5274,5671,3841,3371,497000000000000000
Immateriële activa 1,0891,3201,5441,8161,8272,0302,3691,6131,7501,7682,0252,3602,5392,4592,5931,8101,8511,990434459494000000000000000
Goodwill en immateriële activa 8,7808,9319,0399,4379,5109,5869,8157,6357,5647,4397,8518,3968,5168,1048,1906,3606,3786,5571,8181,7961,9911,851589612000000000000
Langetermijnbeleggingen 00105,929116,587112,09196,51187,92298,67297,171100,871113,560117,757121,69866,31295,53693,72477,24475,54666,11360,63438,31638,62029,05521,77514,74415,48910,07210,5809,6426,863.68,941.65,860.64,256.93,503.82,957.22,634.6
Belastingvorderingen 0000002,9122,2593,3834,2418,4331,644-114,7820-65,1250-6,378-6,557-1,818-1,7960-1,851-58921,992000000000000
Overige niet-vlottende activa -12,3130-65,850-128,827-719-85892,72767,60569,94561,36551,76111,240-21,63236,81722,977-102,037-79,255-77,440-67,673-62,087-41,751-39,832-29,942-612-15,470-16,221-10,772-11,080-10,110-7,331.2-9,416.3-6,305.7-4,669.7-3,823.3-3,169.9-2,810.3
Totaal niet-vlottende activa 12,31312,13551,933128,827123,756108,379192,678176,098176,742171,569175,109140,897110,310112,980128,505182,7574,5344,484-5641,79668,7761,85158922,60415,47016,22110,77211,08010,1107,331.29,416.36,305.74,669.73,823.33,169.92,810.3
Totaal activa 353,240297,258301,450314,624314,706245,610244,596238,425242,698245,155274,119243,291222,582216,827160,505157,946173,631142,543107,35397,96894,04087,53485,79469,85069,29860,89647,08237,97531,52425,785.221,729.518,720.116,489.815,046.311,650.99,983
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000000000000000000000000000000000
Kortlopende schulden 9,8402,6602,0971283,9878393,0921,1441,5851,7544,3813,7804,5024,7668,69420,20017,5975,5572,8351,2191,3431,4373,4401,0126321,1044316096495,564.2649469.3135487.4361.6348.1
Belastingschulden 003,3270000000000009,2814084,3923,1432,6322,6032,4241,9671,5821,4311,1339438316570406.1373.2309.9270.6227223.8
Uitgestelde opbrengsten 000000000000000000000000000000000000
Overige kortlopende verplichtingen -9,8404,8492,5346,9742,6206,6864,2544,4912,3083,986-4,38174,437-4,502-4,766-8,694-29,481-18,005-9,949-5,978-3,851-3,946-3,861-5,407-2,594-2,063-2,237-1,374-1,440-1,306-5,564.2-1,055.1-842.5-444.9-758-588.6-571.9
Totaal kortlopende verplichtingen 9,8407,5097,9587,1026,6077,5257,3465,6353,8935,74095,25378,21766,14382,01239,43256,528000023,06300000000020,370469.3135487.4361.6348.1
Langlopende verplichtingen:
Langetermijnschulden 23,15617,86214,99613,47513,80512,50911,09311,62011,43011,49710,0429,6997,4298,1318,5508,8384,4183,6362,6162,6591,9402,2221,2701,2171,219921922818562301.8128278.9482.2147112.4114.6
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000000000000000
Overige niet-vlottende verplichtingen 294,918248,088259,166273,658268,094207,831201,420198,853206,156206,783-10,042209,576-706-8,13190,14572,222-4,418-3,636-2,616-2,659-1,940-2,222-1,270-1,217-1,219-921-922-44-86-301.8-128-278.9-482.2-147-112.4-114.6
Totaal niet-vlottende verplichtingen 318,074265,950274,162287,133281,899220,340212,513210,473217,586218,280168,974219,2756,723124,20698,69581,060000044,5872,2221,2701,2171,2199219227744760128278.9482.2147112.4114.6
Totaal passiva 327,914273,459276,259287,261288,506221,179219,859216,108221,479224,020252,791222,913201,713197,429142,718143,455160,857131,244100,10191,60187,88181,78781,00766,05166,03658,24444,77135,98029,74924,197.720,498.217,615.115,536.714,229.710,955.89,385.8
Eigen vermogen:
Preferente aandelen 2,8161,9761,9761,9762,4712,9623,6903,1963,1962,7031,961491489500001,8830000000000000000000
Gewone aandelen 504504504504504504504504504504504504504504502495432398337337337337330330167167167000000000
Ingehouden winsten 29,58227,95727,02825,23823,44221,91820,55318,85617,45916,04914,73713,39511,75110,1768,6347,0719,1357,7457,0306,1895,5905,0074,4723,6123,2782,7952,2721,9141,6941,4651,176.91,009.8870.1745.5634.9542.1
Overige gereserveerde algehele resultaten -2,100-2,354-3,711-1,133187-876-1,356-1,009-2,040-1,442-507-95360-659-689-2,238-5,650-575-224-2319219210670-1-5722171212.7000000
Overige totale aandeelhoudersvermogen -5,476-4,284-606778-404-771,4527702,1003,2894,6336,0837,7658,8779,3409,1636,9743,73110972140211-121-167-182-253-1506469109.854.495.28371.160.255.1
Totaal eigen vermogen van aandeelhouders 25,32623,79925,19127,36326,20024,43124,79022,31721,21921,10321,32820,37820,86919,39817,78714,49112,77411,2997,2526,3676,1595,7474,7873,8453,2622,6522,3111,9951,7751,587.51,231.31,105953.1816.6695.1597.2
Totaal eigen vermogen 25,32623,79925,19127,36326,20024,43124,79022,31721,21921,13521,32820,37820,86919,39817,78714,49112,77411,2997,2526,3676,1595,7474,7873,8453,2622,6522,3111,9951,7751,587.51,231.31,105953.1816.6695.1597.2
Totaal passiva en aandeelhoudersvermogen 353,240297,258301,450314,624314,706245,610244,596238,425242,698245,155274,119243,291222,582216,827160,505157,946173,631142,543107,35397,96894,04087,53485,79469,85069,29860,89647,08237,97531,52425,785.221,729.518,720.116,489.815,046.311,650.99,983