The TJX Companies, Inc.

NYSE:TJX

117.25 (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 4,4743,4983,282.890.53,272.23,059.82,607.92,298.22,277.72,215.12,137.41,906.71,496.091,343.11,213.6880.617771.75738.039690.423664.144658.365578.388500.397538.066526.822424.2306.6368.729.682.612710420.174.182.8
Afschrijvingen & Amortisatie 964887868870.8867.3817.9726658.8616.7589548.8508.9485.7458.1435.2452.936426.766422.914405.475288.438248.593207.876204.081175.781160.393136.5124.9126.885.976.567.562.956.848.541.9
Uitgestelde Inkomstenbelasting -764-44.5-230.7-6.2-88.6-137.4-5.531.29152.213.3144.850.653.2132.48-101.7996.286-88.24541.16784.36372.13835.23-24.2352.769-20-3.80-14.1-0.4-3-7.6-14.611.621.5
Aandelen Gebaseerde Vergoedingen 16012218959124.957103.6101.4102.394.18876.164.464.258.855.14551.22957.3769.80491.199.37910.20800000000000000
Verandering in Werkkapitaal 405-821-1,473.63,419.7-144.1156-385.5563.5-4.9112-127.1611.7-238.265.9514.8-382.157222.323-19.996141.30977.444-234.98964.83995.262-153.349-88.89493.3-57.2299.294.9-61.3-108.6-35.942.6-8.7-75.1
Vorderingen 97-124-28.8-128.5-94.3212.8-380.2-32.8-67.5-17.88.6-72.1-25.1-23.119.3-8.245-25.51626.397-20.997-27.731-11.81800000000000000
Voorraden -14558-1,657.8588.8-296.5-465.4-450.411.9-506.6-332.335.227.2-187.2-211.8147.8-68.489-112.411-201.413-8.772-390.655-310.673-85.644-13.292-232.031-28.8864.1-130.7199229.8-165.4-100-119.9-38.6-46.1-46.3
Crediteuren 64-600-338.12,111.229.3198.2205.148.2216.3285.2-152.3211.7-36.6163.8197.5-141.58117.30450.16535.01305.344118.83200000000000000
Overig Werkkapitaal 389-155551.1848.2217.4210.4240536.2352.9176.9-18.6444.910.7137150.2-163.843242.946104.855136.068190.486-31.33150.483108.55478.682-60.00889.273.5100.2-134.9104.1-8.68481.237.4-28.8
Overige Niet-Contante Posten 2,133334235.8353.1-47.539.8113.2-15.4-54.9-86.7-97.1-59.4-36.692.912-0.04519.467-15.303-22.014-82.133-0.7413.96-35.14777.47620.5-23.128.80.1-80.933.70.9-0.25.748.90.22.3
Kasstroom uit Operationele Activiteiten 6,0574,0843,057.54,561.94,066.74,088.53,025.63,601.92,959.93,008.42,590.33,045.61,915.91,976.52,271.91,154.5721,361.1071,195.0331,158.0191,079.831770.5908.56912.446556.763577.97642.8440713.8240.8104.584.4138.6105.6127.687.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,722-1,457-1,044.8-568-1,223.1-1,125.1-1,057.6-1,024.7-911.9-911.5-946.7-978.2-803.3-707.1-429.3-582.932-526.987-378.011-495.948-429.133-409.037-396.724-449.444-257.005-238.569-207.7-225.6-119.2-111.8-127.8-125.8-107.9-89.5-81.6-65.8
Netto Overnames 1,7221,4571,044.794568.021-230.200-2.324-57.104911.5222.653-190.37400000000-57.13800000000000000
Aankoop van Beleggingen -28-31-21.9-29.1-28.8-161.6-861.2-717-798-431.2-478.1-355.7-152-119.5-278.700000000000000000000
Verkoop/verval van Beleggingen 331820.318.512.7636.6906.1529.1681.4388386.5213132.7180.1153.300000000000000000000
Overige Investeringsactiviteiten 5-1,457-1,044.794-568.0217.426.544.8810.0240.004-911.5220.04734.47411.6-1.1-5.614.3450.7530.710.340.6520.6060.564-5.402-13.91709.415.7173.5-375.80000-1178.6
Kasstroom uit Investeringsactiviteiten -1,717-1,470-1,046.4-578.6-1,462-623.6-1,012.7-1,214.9-1,085.6-954.7-1,035.6-1,276.8-811-647.6-560.3-568.587-526.234-377.311-485.608-428.481-465.569-396.16-454.846-270.922-238.569-198.3-209.954.3-487.6-127.8-125.8-107.9-89.5-82.6112.8
Financieringsactiviteiten:
Schuldaflossingen -5000-2,975.5-2,418.30-7.115-3.138-425.60-416.4-499.6-1.456-2.727-2.355-393.6-2.008-1.854-1.71200000000000000000
Uitgifte van Gewone Aandelen 285321229.4211.2232.1255.2133.7164.2132143146.5133.8219176.2169.9142.154134.109260.197102.43896.86159.15933.91665.20226.10121.04827.815.534.410.73.8107.51.20.18
Terugkoop van Gewone Aandelen -2,484-2,255-2,176.3-201.5-1,552-2,407-1,644.6-1,700-1,828.3-1,650.7-1,471.1-1,345.1-1,320.8-1,193.4-944.8-751.097-940.208-557.234-603.739-594.58-520.746-481.734-424.163-444.105-604.56-350.3-245.200-19.300000
Uitgekeerde Dividenden -1,484-1,339-1,251.833-278.256-1,071.562-922.596-764-651-544.3-465.9-393.8-323.9-275-229.3-197.7-176.749-151.492-122.927-105.251-83.418-68.889-60.025-48.29-44.693-42.739-41.7-43.5-35-44.9-48.7-43.8-36.1-32.1-31-25.2
Overige Financieringsactiviteiten -32-33-25.65,915.2-23.4-15.985-19.2621,050.564.7830.51,074.261.05643.82724.955782.518.8796.7563.632102.847-6.462-16.348-1.244307.514-61.203197.365-23.4-27.2-502.1458.37432.8-62.8-1.215-251.5
Kasstroom uit Financieringsactiviteiten -4,215-3,306-6,199.83,228.3-2,414.9-3,097.5-2,297.3-1,561.9-2,175.9-1,559.5-1,143.8-1,475.6-1,335.7-1,223.9-583.7-768.821-952.689-418.044-503.705-587.599-546.824-509.087-99.737-523.9-428.886-387.6-300.4-502.7414.46.7-7.28.6-32.1-15.9-268.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -2-58-54.141.2-3.2-95.7113.19.2-96.7-150.1-73.211.7-3.922.233.2-96.249-6.241-8.658-10.244-2.967-4.034-3.7592.378-1.1650-444.5-230.1-768.1246.823.341.4-30.7-16.1-45-200.1
Netto Kasstroomverandering 123-750-4,242.87,252.8186.6271.7-171.372834.376-398.302344.029337.789304.845-234.639127.1441,161.08-279.085-124.057391.02158.46260.784-245.927-0.446360.241-239.224-89.485-387.6-300.4-502.7414.46.7-7.28.6-32.1-15.9-268.7
Kaspositie aan het Einde van de Periode 5,6005,4776,226.810,469.63,216.83,030.22,758.4772,929.8492,095.4732,493.7752,149.7461,811.9571,507.1121,741.7511,614.607453.527732.612856.669465.649307.187246.403492.33492.776132.535371.75916.8174.3-293.545664.899.575.951.238.4-146