Tennant Company

NYSE:TNC

94.44 (USD) • At close October 17, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 116.977.4123.614174.685.60958.39858.03351.392.96280.98453.9452.33939.52918.06229.28533.09231.02141.28716.83724.58716.35623.78321.51214.917.716.39.94.21.92.73.52.31.43.273.60.92.7
Kortetermijnbeleggingen 0.80.8000000.5170.640000000014.2506.050000000000000000000
Liquide middelen en kortetermijnbeleggingen 116.977.4123.614174.685.60958.39858.03351.392.96280.98453.9452.33939.52918.06229.28533.09245.27141.28722.88724.58716.35623.78321.51214.917.716.39.94.21.92.73.52.31.43.273.60.92.7
Nettovorderingen 247.6251.5211.4199.9223.3216.17209.516149.134140.445152.383140.182138.147128.873127.542121.203123.812127.491116.326105.91797.51385.6477.77172.25188.26189.977.278.274.572.559.241.240.136.939.141.145.843.938.234.1
Voorraad 175.9206.6160.6127.7150.1135.133127.69478.62277.29280.51166.90658.13665.91261.74656.64666.82864.02760.97852.66655.91154.68258.94147.0851.91547.846.240.335.340.73122.925.822.524.422.720.920.118.618.8
Overige vlottende activa 28.539.831.225339.0667.5032.4122.4851.5911.6820.3881.01519.4520.3440.3150.48912.829-0.00112.3211.4619.8339.2739.9412.59.88.36.86.16.775.34.32.23.35.51.110.7
Totaal vlottende activa 569.1575.3526.8493.6481468.644423.115297.922293.644347.089315.296273.446272.096248.269215.912250.419240.724235.404211.6188.631176.37162.901152.387171.628165.1150.9143.1126.5123.598.873.874.76667.170.379.268.758.756.3
Niet-vlottende activa:
Materiële vaste activa, netto 229.4211.7214.1230219.9163.447180.018112.09794.95886.54383.47686.19387.15487.62897.217103.7396.55182.83572.58869.06361.12169.15369.79266.71366.366.665.165.463.756.646.645.440.742.640.935.635.63532.4
Goodwill 187.4182193.1207.8195.1182.671186.04421.06516.80318.35518.92919.71720.30320.42320.18162.09529.05326.29822.25323.47617.812000000000000000000
Immateriële activa 63.176.498126.2137.7146.546172.3476.463.19515.58819.02821.39323.75825.33929.24328.7415.54.58123.75525.026017.7217.19817.718.515.616.517.818.919.3000000000
Goodwill en immateriële activa 250.5258.4291.1334332.8329.217358.39127.52519.99833.94337.95741.1144.06145.76249.42490.83634.55330.87923.75525.02617.81217.7217.19817.718.515.616.517.818.919.3000000000
Langetermijnbeleggingen -50-20.6-39.100.03200000000000000000-4.236-10.86300000000000000
Belastingvorderingen 520.620.639.1015.48911.13413.43912.0518.1652.42310.98915.01414.1827.9116.3882.671.5741.5220.1291.6093.6884.0684.23610.86300000000000000
Overige niet-vlottende activa 64.419.129.72529.215.71521.31919.05411.64411.19217.1549.0225.9377.8277.2625.2317.5723.5582.0072.9431.9612.7753.1747.2447.669.29.59.78.18.28.94.96.56.431.81.31.1
Totaal niet-vlottende activa 544.3509.8534.9589581.9523.9570.862172.115138.651139.843141.01147.314152.166155.399161.814206.185141.346118.84699.87297.16182.50393.33694.23291.65792.488.290.892.792.38454.854.345.649.147.338.637.436.333.5
Totaal activa 1,113.41,085.11,061.71,082.61,062.9992.544993.977470.037432.295486.932456.306420.76424.262403.668377.726456.604382.07354.25311.472285.792258.873256.237246.619263.285257.5239.1233.9219.2215.8182.8128.6129111.6116.2117.6117.8106.19589.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 111.4126.1121.5106.394.198.39896.08247.40850.3561.62753.07947.00246.86940.49842.65826.53631.14631.32686.73324.62658.47755.40145.88354.6831852.149.941.743.840.128.528.528.932.932.90000
Kortlopende schulden 20.85.24.210.931.327.00530.8833.4593.4593.5663.8032.0424.1663.1544.0193.9462.1271.8122.2327.6741.0314.9489.76512.57212.97.32.43.917.3231.21.50.270.11.62.20.83.2
Belastingschulden 11.311.113.812.510.42.1232.8382.3481.3981.0870.8120.7850.6190.5093.9823.1542.3910.710000004.23800000000000000
Uitgestelde opbrengsten 7.96.67.75.96.85.0215.8152.36635.9262.3682.3031.87833.5530.5093.9823.6622.56086.7332.70558.4770054.6832.0900000000000000
Overige kortlopende verplichtingen 133.6123.7156.9131.2142.7118.45103.72779.59643.48178.06972.34170.77239.40471.98365.49373.01560.8461.666-86.73346.848-58.47700-54.68342.011.44.840.631.10.33.80.5432.128.82321.3
Totaal kortlopende verplichtingen 273.7261.6290.3254.3274.9248.874236.507132.829133.216145.63131.526121.694123.992116.144116.152107.15996.67394.80488.96581.85359.50770.34955.64867.2557560.857.149.661.766.130.830.332.940.43733.73123.824.5
Langlopende verplichtingen:
Langetermijnschulden 221.6312.2288.8326.3337.8328.06345.95632.73521.19424.5712830.28132.28927.67430.19291.3932.471.9071.6081.0296.29551010162320.721.823.16.31.13.11.922.62.42.53.23.5
Uitgestelde opbrengsten niet-vlottend 13.32.716.317.919.4-243.65423.86721.13421.50825.71125.17325.87340.08933.89831.848000-1.5220-1.609000-6.06100000000000-3.4-5-2.2
Uitgestelde belastingverplichtingen niet-vlottend 511.520.639.141.746.01853.2250.1710.0055.9892.873.3253.1894.5257.41711.6710.7520.7941.5220.4731.6090006.06100000000.30.743.83.12.61.9
Overige niet-vlottende verplichtingen 21.52510.638.927.8296.89435.9484.6254.1654.384.8914.5333.8515.2947.83836.47729.74427.08127.79728.40327.45526.74326.64331.08230.6242218.916.914.112.610.7-0.1-0.1-0.1-0.13.452.2
Totaal niet-vlottende verplichtingen 261.4351.4336.3422.2426.7427.318458.99658.66546.87260.65160.93464.01279.41871.39177.295139.54132.96629.78229.40529.90533.7531.74336.64341.08246.64742.740.74020.413.713.82.12.66.56.15.65.85.4
Totaal passiva 535.1613626.6676.5701.6676.192695.503191.494180.088206.281192.46185.706203.41187.535193.447246.7129.639124.586118.37111.75893.257102.09292.291108.337121.6107.899.890.3101.786.544.544.1354343.539.836.629.629.9
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 7776.96.96.7976.7056.6336.6546.9066.9346.9247.0637.147.0326.8576.9377.0453.4593.3883.3853.383.3893.3953.400000000000000
Ingehouden winsten 547.4458410.6363.3346316.269297.032318.18293.682286.091249.927236.065227.944220.391192.584223.692233.527210.457189.221174.132168.18161.281164.302166.274144.7136.7141.7130.7116.4103.393.790.787.282.870.573.865.761.457.8
Overige gereserveerde algehele resultaten -42.3-50.2-37.9-20.1-38.5-37.194-22.323-49.923-48.129-38.593-24.971-30.333-29.237-22.274-23.109-27.2943.702-2.061-6.767-3.827-6.304-10.516-13.746-16.265-12.2-102.9-91.5-83.5-73.5-65.8-64.5-59.4-53.4-48.7-43.4-38.6-36.5-31.2-27.8
Overige totale aandeelhoudersvermogen 64.95654.154.745.528.5515.0893.653026.24731.95622.39815.08210.8767.7726.6498.26514.2237.1890.3410.35500.3831.544097.583.981.771.258.854.953.642.839.14742.840.335.229.9
Totaal eigen vermogen van aandeelhouders 577470.8433.8404.8359.9314.422296.503278.543252.207280.651263.846235.054220.852216.133184.279209.904252.431229.664193.102174.034165.616154.145154.328154.948135.9131.3134.1128.9114.196.384.184.976.673.274.17869.565.459.9
Totaal eigen vermogen 578.3472.1435.1406.1361.3316.352298.474278.543252.207280.651263.846235.054220.852216.133184.279209.904252.431229.664193.102174.034165.616154.145154.328154.948135.9131.3134.1128.9114.196.384.184.976.673.274.17869.565.459.9
Totaal passiva en aandeelhoudersvermogen 1,113.41,085.11,061.71,082.61,062.9992.544993.977470.037432.295486.932456.306420.76424.262403.668377.726456.604382.07354.25311.472285.792258.873256.237246.619263.285257.5239.1233.9219.2215.8182.8128.6129111.6116.2117.6117.8106.19589.8