Stryker Corporation

NYSE:SYK

361.36 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 3,1652,3581,9941,5992,0833,5531,0201,6471,4395151,0061,2981,3451,273.41,107.41,147.81,017.4777.7675.2465.7453.5345.626722119.439.6125.3104.58772.460.247.733.123.619.2
Afschrijvingen & Amortisatie 1,028998990812778723642546397378307486481410.2385.3387.6366.6331.8289.9250.9229.7186.1172168.6162.837.633.334.728.720.916.211.411.87.16.3
Uitgestelde Inkomstenbelasting -20658-23748126-1,58236-46876023-39-164-103.8-72.7-17.6-147.1-27.120.4-65.5-32.9-1.829.128.7-48.6-44.42-30.72.5-3.8-2.9-4.2-5.9-1.80.2
Aandelen Gebaseerde Vergoedingen 20516817114212711911397867776757568.862.365.561.349.400000000000000000
Verandering in Werkkapitaal -500-732279866-670-1,666-103-381-937859523-202-468-259.7-99-428.5-274.4-345.6-189.4-243.243.3-56.2-29.9-93.4-66-15.9-73.135.6-21.8-3.87.1-4.7-10.71.8-7
Vorderingen -175-579-377354-563-60-162-192-151-89-89-20-152-121.4-9.8-131.27.39918.415.916.916.915150000000000
Voorraden -797-762-18927-400-385-320-299-115-173-7718-166-131.233.7-180.2-89.9-86.8-39.7-63-5.87-10.2-20.214.7-30.2-18.23.5-1.65.82.30.7-18.1-7.5-1.6
Crediteuren 772903291006311621-1635131-484495.9-80.510.411.1-2.5-2.568.324.69.89.8-31.6-31.60000000000
Overig Werkkapitaal 395319516385230-1,337358126-7061,108688-152-194-103-42.4-127.5-202.9-265.3-156.2-266.98.6-89.9-46.4-56.6-64.114.3-54.932.1-20.2-9.64.8-5.47.49.3-5.4
Overige Niet-Contante Posten 19-22666-190-2531,463-149-51-173-107-4939165158.577.421.14.581.167.710.2-90.730.230.16.9216.4-0.13.1234.59.44.60.18.117.32.8
Kasstroom uit Operationele Activiteiten 3,7112,6243,2633,2772,1912,6101,5591,8128991,7821,8861,6571,4341,547.41,460.71,175.91,028.3867.3863.8593.3648.5503.9468.3331.8284154.591.9204.3111.597.786.150.737.648.321.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -575-588-525-487-649-572-598-490-270-233-195-210-226-182.1-131.3-155.2-187.7-217.5-271.7-187.8-144.5-139-161.9-80.7-76.2-1,745.9-35.2-26.7-36.3-29.2-54.8-31.6-16.6-13.1-7.1
Netto Overnames -390-2,563-339-4,222-802-2,451-831-4,332-153-916-2,320-154-2,066-265.4-570.2-14.2-54.8-97.1-59.7-144.7-10.8-173.6-43-24.5-14.60000000000
Aankoop van Beleggingen -52-52-49-54-74-226-270-151-1,715-4,365-4,558-372-6,779-408.9-628.4-16,832.3-14,851.9-9,137.8-1,543.40000-5-50-5.10-110.30-54.3-21.6-11.7-15.40
Verkoop/verval van Beleggingen 54240556169394877854,0943,6362983,1086,8695,210.13,973.717,303.213,772.48,709.7968.400007.116.4179.803.7017.700000
Overige Investeringsactiviteiten 139-111-2-1-32,379-7294,558-3,10867-5,149.2-3,972.28.6143.80.43.48.53.70.899.80-0.1-39.4-51.3-17.8-42.60-8.7000
Kasstroom uit Investeringsactiviteiten -962-2,924-859-4,701-1,455-2,857-1,613-4,1911,956-1,878-2,217-736-2,135-795.5-1,328.4310.1-1,178.2-742.3-903-324-151.6-311.8-195.9-93.3-79.4-1,566.2-79.7-74.3-164.4-54.1-109.1-61.9-28.3-28.5-7.1
Financieringsactiviteiten:
Schuldaflossingen -277-653-1,151-2,297-1,342-669-933-1,635-696-1,428-355-182-190-80.8-2.7-19.30000000000-6.7-3.30-28.100000
Uitgifte van Gewone Aandelen 01221141102,6353,1251,2324,5477442,5871,3601789261,085.7019.369.548.630.4026.93214.714.27.26.75.44.13.81.81.49.81.30.91.5
Terugkoop van Gewone Aandelen -155-122-114-110-307-300-230-13-700-100-317-108-622-425.50-1,0000000000000-25.6-15.10-3.100000
Uitgekeerde Dividenden -1,139-1,051-950-863-778-703-636-568-521-462-401-324-279-238.3-198.4-135.6-89.7-44.6-36.2-28-23.7-19.7-15.7-12.7-11.6-10.6-9.7-4.4-3.9-3.4-2.9-2.4000
Overige Financieringsactiviteiten -178955-2643,149-205-124-22730323213-134697.889.533.8-207.2207.738.6-479.5-224.9-276.6-260.2-226.21,390.76.2-2.75.154.931.4-7.83.8-1.5-1.1
Kasstroom uit Financieringsactiviteiten -1,594-749-2,365-1131,329-7942,361-1,141629300-449-161410.1-193.3-1,046.113.6-203.2201.910.6-476.3-212.6-277.6-258.7-230.61,386.8-30.4-21.4522.129.9-0.45.1-0.60.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -28-51-3841-18-874-45-130-77-25189-63.118.6-29.310.23.6-20.93.67.58.21.3-5.8-15.3-4.2-3.3-20.21.4-0.31.7-0.20.2-0.1
Netto Kasstroomverandering 1,127-1,1001-1,3947211,074-774-631,584456-56490-8531,098.9-42.4410.6-126.1-74.6141.8283.528.1-12.3-3.9-26-41.3-29.1-21.5106.6-47.767.16.6-9.914.219.414.7
Kaspositie aan het Einde van de Periode 2,9711,8442,9442,9434,3373,6162,5423,3163,3791,7951,3391,3959051,757.6658.7701.1290.5416.6491.2349.465.937.850.15480124.9154.2175.669.1116.849.74352.938.719.3