TFI International Inc.

NYSE:TFII

138.25 (USD) • At close December 20, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 335.556147.11719.2924.297-75.89-6.728-11.8932.719-27.699-44.103-6.097-10.581000000020.113000.5010000
Kortetermijnbeleggingen 00000.0780000000000000000000000
Liquide middelen en kortetermijnbeleggingen 335.556147.11719.2924.297-75.89-6.728-11.8932.719-27.699-44.103-6.097-10.581000000020.113000.50100-00
Nettovorderingen 918.4081,043.5141,062.103605.479462.789473.368462.79431.925376.776515.374396.796413.193405.672283.845251.141249.236290.948232.226217.629156.57685.15869.63144.12949.58821.85221.85216.166
Voorraad 23.96424.18124.4028.76110.5989.3657.3926.3395.0978.4886.0336.048.6459.0528.7069.28210.0688.2566.0932.9011.0981.0371.151.2160.8220.630.501
Overige vlottende activa 58.07148.75156.46134.23595.7685.5448.63530.754315.40247.77340.75914.92115.21415.1469.05413.10711.98825.7349.69219.1563.7895.686.6854.1891.9871.9871.144
Totaal vlottende activa 1,335.9991,263.5631,162.258652.772523.572520.58518.817471.737589.761547.823443.588445.24429.787310.765268.901271.624313.004253.349233.413189.16890.04573.50850.54154.99324.6621.61317.811
Niet-vlottende activa:
Materiële vaste activa, netto 2,841.1022,513.5952,730.4071,411.7131,451.251,025.226952.3761,037.922707.5511,020.853659.692785.103767.472688.066637.298590.561655.708457.322384.174231154.58132.607101.562100.86561.6540.42830.258
Goodwill 1,483.0771,281.3331,424.8111,375.611,177.4681,085.4161,106.3311,103.085826.778941.973575.784569.844561.808432.715400.106358.136403.744275.151134.14796.22977.651000000
Immateriële activa 536.224310.777368.11374.163319.085310.658350.746377.198299.194434.33223.179300.451276.752172.576140.336105.72969.29145.16321.8564.8510000000
Goodwill en immateriële activa 2,019.3011,592.111,792.9211,749.7731,496.5531,396.0741,457.0771,480.2831,125.9721,376.303798.962870.295838.56605.291540.442463.864473.035320.314156.002101.0877.65162.62845.31749.04706.3655.937
Langetermijnbeleggingen 50.20985.96431.3919.72701.15.01811.8182.7535.46821.2854.763-0-0-0-000-000-0-0.5080000
Belastingvorderingen 20.61527.04729.69511.2078.7744.7054.0866.2575.0164.3672.4338.1199.4355.85770.03846.9648.6244.566.323000.2180.5080000
Overige niet-vlottende activa 16.39423.5516.45114.1728.60525.78826.94320.993.1157.2913.05211.5911.95113.367-59.65-40.3056.2997.4549.5240.7853.131.462.9511.8249.3161.8191.001
Totaal niet-vlottende activa 4,947.6214,242.2674,590.8653,196.5922,965.1822,452.8942,445.52,557.2691,844.4062,414.2821,495.4241,679.871,627.4181,312.5811,188.1291,061.0851,143.667789.649556.023332.865235.362196.914149.83151.73670.96648.61237.196
Totaal activa 6,283.625,505.835,753.1233,849.3643,488.7542,973.4732,964.3173,029.0062,434.1682,962.1051,939.0122,125.112,057.2061,623.3461,457.031,332.7091,456.6711,042.998789.436522.033325.407270.421200.37206.72995.62670.22555.007
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 450.638498.777612.092327.619237.042247.77243.166236.947228.024282.295206.711200.136188.838126.046173.589179.756206.914138.673150.35121.57763.48547.29939.87541.10840.420.00218.116
Kortlopende schulden 301.748153.021478.93131.519157.386104.36649.1630.13464.924273.22430.42847.28134.29437.154392.1267.00544.51648.028125.72823.737.75127.44231.52218.26312.6049.0939.093
Belastingschulden 2.44241.71416.2533.224.63213.91411.06442.9419.8221.651023.06210.3184.116005.7774.0881.4950.1920.93000000
Uitgestelde opbrengsten 0.959055.26250.672125.241133.719132.239177.04890.03198.96983.096121.55103.307000-0000-000-0-000
Overige kortlopende verplichtingen 311.283273.169298.848162.102108.863156.476232.36267.118-22.942205.93881.88399.415104.72483.0459.0977.60111.98223.72427.839.742-102.16612.2871.6719.60615.9733.5110.28
Totaal kortlopende verplichtingen 1,066.111966.6811,406.12654.46484.829481.814426.044429.385769.859657.365319.023369.894334.52247.574580.697254.362269.189214.513305.403155.211107.2987.02960.18568.97732.60627.48834.835
Langlopende verplichtingen:
Langetermijnschulden 2,042.5921,575.7751,558.371,097.0111,934.8471,077.1341,149.8761,148.96751.1631,139.547706.92791.719834.256620.022290.484607.219658.019307.673126.19121.98156.62536.51865.16465.164103.7722.87222.872
Uitgestelde opbrengsten niet-vlottend 00151.66752.30537.3-939.685-1,064.462-1,213.354-219.651-817.489-601.41-730.72233.588-0000-0000000-000
Uitgestelde belastingverplichtingen niet-vlottend 433.242368.186408.622232.712238.945212.873206.912314.963169.219233.461129.645186.42184.287108.1390023.9719.001002.4383.8810.7822.6352.6030.8390
Overige niet-vlottende verplichtingen 150.265132.1188.03322.699-359.829739.727626.878842.133361.791506.52170.358232.3518.77853.24276.42752.1885.5753.1416.8953.9060040.14838.538-0.036-1.834-7.85
Totaal niet-vlottende verplichtingen 2,626.0992,076.0792,126.6921,404.7271,851.2631,333.9361,412.9261,514.397923.9621,417.972877.2781,024.071,052.167764.338366.911659.408687.563329.814143.085125.88759.06440.397101.116106.33739.79923.64115.021
Totaal passiva 3,692.213,042.763,532.8122,059.1872,336.0911,815.751,838.9691,943.7821,693.8212,075.3371,196.3011,393.9651,386.6881,011.912947.609913.769956.752544.327448.488281.098166.354127.426161.301175.31472.40551.1349.857
Eigen vermogen:
Preferente aandelen 000000000000000000019.0980000000
Gewone aandelen 1,107.291,089.2291,133.1811,120.049520.745517.25565.436538.197550.802688.369542.834558.9890000524.492445.611295.7350128.124000000
Ingehouden winsten 1,646.9751,565.6711,192.645805.068597.059577.892544.655493.306143.165161.373152.425160.94295.54431.436-33.46-7.85-15.29460.60949.90834.50130.92937.77714.0477.1610.069-4.616-6.152
Overige gereserveerde algehele resultaten -200.539-239.12-144.665-154.72318.73547.569-2.23538.6733.53924.67923.973-6.1371.516-478.704-413.149-353.114-288.108-271.969-271.68-197.751-196.8130-90.271-67.7-62.5-48-44.7
Overige totale aandeelhoudersvermogen 37.68441.49139.1519.78316.12515.01318.06715.05112.84112.34771.58521.07314.141,065.708956.03779.904800.733-9.266266.985-21.427196.8130136.03699.60893.84619.02669.947
Totaal eigen vermogen van aandeelhouders 2,591.412,463.072,220.3111,790.1771,152.6631,157.7231,125.3471,085.224740.347886.768742.712731.145670.518611.434509.421418.94497.331496.954340.948240.935159.053142.99539.06931.41523.22219.0955.15
Totaal eigen vermogen 2,591.412,463.072,220.3111,790.1771,152.6631,157.7231,125.3471,085.224740.347886.768742.712731.145670.518611.434509.421418.94499.918498.672340.948240.935159.053142.99539.06931.41523.22219.0955.15
Totaal passiva en aandeelhoudersvermogen 6,283.625,505.835,753.1233,849.3643,488.7542,973.4732,964.3173,029.0062,434.1682,962.1051,939.0122,125.112,057.2061,623.3461,457.031,332.7091,456.6711,042.998789.436522.033325.407270.421200.37206.72995.62670.22555.007