TransDigm Group Incorporated

NYSE:TDG

1363 (USD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,2613,4723,0014,7874,7171,467.4862,073.017650.5611,586.994714.033819.548564.74440.524376.183234.112190.167159.062105.94661.217104.22148.49818.90249.206
Kortetermijnbeleggingen 01037780011.634000000000000050.60100
Liquide middelen en kortetermijnbeleggingen 6,2613,5753,0014,7874,7171,467.4862,073.017650.5611,586.994714.033819.548564.74440.524376.183234.112190.167159.062105.94661.217104.22199.09918.90249.206
Nettovorderingen 01,4219677917561,112704.31636.127576.339444.072351.307290.449235.783189.293134.461106.44696.196104.56674.93463.55444.48900
Voorraad 01,6161,3321,1851,2831,232.649805.292730.681724.011591.401459.074413.581320.503265.317188.756167.766144.114126.76389.24376.07764.38500
Overige vlottende activa 02293492672041,09763.034116.18343.35382.45659.64751.72553.72139.49937.15842.0524.06228.3248.78714.49412.20600
Totaal vlottende activa 3,6906,7385,6497,0306,9604,865.2473,657.2872,133.5522,930.6971,831.9621,689.5761,320.495996.81870.292583.508494.754423.434365.599234.181258.346220.17918.90249.206
Niet-vlottende activa:
Materiële vaste activa, netto 01,319807770752756.757388.333324.924310.58260.684212.108208.964172.737150.899.61396.75196.24187.07462.85163.62460.81700
Goodwill 08,9888,6418,5687,8897,820.1036,223.295,745.3385,679.4524,686.223,525.0773,343.9073,035.5022,595.7471,571.6641,462.311,354.7741,247.87877.8290000
Immateriële activa 02,7472,7502,7912,6102,743.821,788.4041,717.8621,764.3431,539.8511,217.1531,189.491,123.61828.366400.394372.921356.194334.898225.9591,085.6351,041.05800
Goodwill en immateriële activa 011,73511,39111,35910,49910,563.9238,011.6947,463.27,443.7956,226.0714,742.234,533.3974,159.1123,424.1131,972.0581,835.2311,710.9681,582.7681,103.7881,085.6351,041.05800
Langetermijnbeleggingen 011169106-41.769248.926-3.256-492.255-45.37500003.4495.389-19.902000000
Belastingvorderingen 00-69-101741.769-151.643.256492.25545.375000015.218.719.902000000
Overige niet-vlottende activa 21,896-13,16526015616168.80442.86753.98541.205108.333112.93486.023-277.28568.4313.993.61525.17825.61215.89220.14323.85800
Totaal niet-vlottende activa 21,89613,16512,45812,28511,43511,389.4848,540.187,842.1097,795.586,595.0885,067.2724,828.3844,054.5643,643.3442,094.311,959.6861,832.3871,695.4541,182.5311,169.4021,125.73300
Totaal activa 25,58619,97018,10719,31518,39516,254.73112,197.4679,975.66110,726.2778,427.056,756.8486,148.8795,051.3744,513.6362,677.8182,454.442,255.8212,061.0531,416.7121,427.7481,345.9121,315.395402.226
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0305279227218276173.603148.761156.075142.822115.741106.76874.17862.1144.22644.6825.1424.75318.76416.41911.46800
Kortlopende schulden 0436444646649443375.336369.041252.416267.989239.29531.04520.515.5000002.9432.94300
Belastingschulden 013811019449.1680000008.937000000000
Uitgestelde opbrengsten 079452518-429.566-375.336-369.041-252.416-243.219-239.295-31.045-20.570.826000000000
Overige kortlopende verplichtingen 0621647765712775.756342.275353.192344.112247.404230.871184.687139.237120.31268.78655.07263.36242.46624.675120.42526.38300
Totaal kortlopende verplichtingen 01,5791,4261,6631,6161,538.756900.382870.994752.603658.215585.907322.5233.915206.859113.01299.75288.50267.21943.439139.78740.79400
Langlopende verplichtingen:
Langetermijnschulden 019,33019,36919,37219,38416,519.22112,501.94611,393.629,943.1918,106.3837,233.8365,700.1933,598.6253,122.8751,771.6461,356.7611,357.231,357.854925886.903889.845894.997408.952
Uitgestelde opbrengsten niet-vlottend 018,55676-82-273-151.779-0.142-9.731-53.82427.389-4.65-7.55-408.2430000000000
Uitgestelde belastingverplichtingen niet-vlottend 0627596485430440.817399.496500.949492.255450.372402.247384.301356.896310.451168.588162.745151.672140.25178.10964.9560.67200
Overige niet-vlottende verplichtingen 04124827059331,081.837204.114161.302189.718295.76190.95778.26651.34762.50231.59316.024.5178.1787.1233.00133.239-894.997-408.952
Totaal niet-vlottende verplichtingen 019,18320,44720,56220,74717,601.05813,105.55612,055.87110,625.1648,807.1417,727.046,162.763,598.6253,495.8281,971.8271,535.5261,513.4191,506.2831,010.232954.8541,007.7061,031.844408.952
Totaal passiva 021,94821,87322,22522,36319,139.81414,005.93812,926.86511,377.7679,465.3568,312.9476,485.263,832.543,702.6872,084.8391,635.2781,601.9211,573.5021,053.6711,094.6411,048.51,031.844408.952
Eigen vermogen:
Preferente aandelen 098000000000000000000000
Gewone aandelen 011110.5760.5690.5610.5580.5510.5380.5320.5210.5080.4990.4940.4860.470.4460.0030.00300
Ingehouden winsten 0-2,621-3,914-3,705-4,359-3,119.956-2,246.578-3,187.22-1,146.963-1,717.232-2,150.293-1,004.244689.229364.26192.126450.647287.745156.31267.66742.557.86300
Overige gereserveerde algehele resultaten 0-98-267-248-401-378.9814.1-85.143-149.787-96.009-25.171-6.516-8.051-3.277-3.8-5.5090.445-1.753-1.829-0.336-0.28200
Overige totale aandeelhoudersvermogen 07344071,036787605433.438320.598644.702774.384618.827673.847537.135449.458404.154373.53365.224332.522296.757290.89289.828283.551-77.156
Totaal eigen vermogen van aandeelhouders 0-1,984-3,773-2,916-3,972-2,894.905-1,808.471-2,951.204-651.49-1,038.306-1,556.099-336.3811,218.834810.949592.979819.162653.9487.551363.041333.107297.412283.551-77.156
Totaal eigen vermogen 0-1,978-3,766-2,910-3,968-2,885.083-1,808.471-2,951.204-651.49-1,038.306-1,556.099-336.3811,218.834810.949592.979819.162653.9487.551363.041333.107297.412283.551-77.156
Totaal passiva en aandeelhoudersvermogen 25,58619,97018,10719,31518,39516,254.73112,197.4679,975.66110,726.2778,427.056,756.8486,148.8795,051.3744,513.6362,677.8182,454.442,255.8212,061.0531,416.7121,427.7481,345.9121,315.395402.226