TriNet Group, Inc.

NYSE:TNET

98.41 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q32019 Q22019 Q12018 Q42018 Q32018 Q22018 Q12017 Q42017 Q32017 Q22017 Q12016 Q42016 Q32016 Q22016 Q12015 Q42015 Q32015 Q22015 Q12014 Q42014 Q32014 Q22014 Q12013 Q42013 Q32013 Q12012 Q4
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,0701,3571,556170482707354454336235612525464500301563637521213216219251228237202330336263.527233.883216.054184.004160.558166.664195.938166.178146.315128.413104.401134.34197.952100.288122.60194.356112.161-63.74963.749
Kortetermijnbeleggingen 7285657569897695120154135155131715761766568677656543829699162160.207150.939127.715130.501122.378112.807103.502101.806104.34882.85373.96469.44762.45443.45441.92700127.4980
Liquide middelen en kortetermijnbeleggingen 1,1421,4421,621245551796430549456389747680595571358624713586281283295307282275231330336263.527233.883216.054184.004160.558166.664195.938166.178146.315128.413104.401134.34197.952100.288122.60194.356112.16163.74963.749
Nettovorderingen 5004784654253813863943723183273393133543452643813573892943753513263153112752943180000000000000000000
Voorraad 0009081,1461,1011,3349001,0901,2711,2621,1131,0261,1391,4518857858341,232648736780990706694754-2900000000000000000000
Overige vlottende activa 924920492275993461681449310691951091058789808364697381594549411,627943.573900.7681,041.3541,283.616849.718949.621,028.4611,373.386867.126838.239922.6191,635.136697.047664.279663.8772.437549.2960438.273
Totaal vlottende activa 2,5662,8402,5781,8532,1772,6292,3261,9651,9572,0932,4392,2012,0842,1602,1601,9791,9351,8921,8711,3751,4551,4941,6461,3371,2491,4191,9911,233.5581,176.9691,308.621,535.3541,044.1671,151.4351,248.4191,570.521,065.8741,020.3221,066.5481,824.338857.487806.018822.954898.546661.45763.749502.022
Niet-vlottende activa:
Materiële vaste activa, netto 35374140566055128129130121122124126130122128134140143149141797879747068.4766.82763.41758.62253.14147.3241.87937.84436.35236.13433.76932.29832.35330.38926.64825.6923.412024.36
Goodwill 462462462462462462462462430433294294294294294294289289289289289289289000289289.207289.207289.207289.207289.207289.207289.207289.207290.507288.857288.857288.857288.857288.857288.857288.857289.4630195.966
Immateriële activa 17617417216915615516310395100679171819131415171819213113123142627.10828.40829.72431.07432.42437.08742.09246.77252.53459.89370.50181.71894.461107.204120.471134.02149.463091.009
Goodwill en immateriële activa 638636634631618617625565525533300301303311312313302303304306307308310311312314315316.315317.615318.931320.281321.631326.294331.299335.979343.041348.75359.358370.575383.318396.061409.328422.877438.9260286.975
Langetermijnbeleggingen 31931330114314614215114215916516816719413013814112813012512811713313513013318239-50.914-64.765-57.0920-13.833-15.012-17.881038.25147.27164.9943.92250.07256.126-387.97249.657000
Belastingvorderingen 000000000002100000000000727071290.84591.82891.847054.41154.81554.773021.70521.71521.5867.1847.621111000
Overige niet-vlottende activa 145142139299293288286279274283281257273278303312309306308293290269265176172-13176178.651170.221146.949180.886140.809131.624123.067153.887104.34882.85373.96469.44762.45443.454468.46936.96891.802-63.749-311.335
Totaal niet-vlottende activa 1,1371,1281,1151,1131,1131,1071,1171,1141,0871,111870868894845883888867873877870863851789767766628602603.367581.726564.052559.789556.159545.041533.137527.71543.697536.723553.667523.426535.818527.03517.473536.192554.14-63.749311.335
Totaal activa 3,7033,9683,6932,9663,2903,7363,4433,0793,0443,2043,3093,0692,9783,0053,0432,8672,8022,7652,7482,2452,3182,3452,4352,1042,0152,0472,5931,836.9251,758.6951,872.6722,095.1431,600.3261,696.4761,781.5562,098.231,609.5711,557.0451,620.2152,347.7641,393.3051,333.0481,340.4271,434.7381,215.5970887.727
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8512287109100130981221081188670818450421016331334055454339464528.99526.59922.59822.54118.46116.62920.10612.90414.86312.35411.18212.27311.42213.1458.5057.3157.1405.25
Kortlopende schulden 97123123151531115151515111212123326726927239393938222221434036.71836.64836.60636.55936.49725.00635.35835.32620.27420.27220.30520.73820.6946.0616.5896.6696.71400
Belastingschulden 1,4211,6111,4388048461,0071,0876775977399295675726681,0954344265679013894735507294194425005014.71627.58342.3816.317.6713.0974.10521.07120.43110.41126.71132.97312.8218.8730000
Uitgestelde opbrengsten 70516573781311065474124971201321511342091463844286738563528262966.682931.3061,075.00192.373871.591969.0791,049.66154.641965.79926.5581,009.1137.184795.362706.541657.567810.423000
Overige kortlopende verplichtingen 2,2112,3732,1881,5061,5141,6631,7691,3301,3861,5311,5451,3541,3051,3931,6531,1191,0551,2351,5291,0221,0731,1371,3021,0119731,0571,67014.32113.73514.5461,227.1111.9611.19712.4921,355.22110.53710.4110.7841,728.56612.7369.94356.5329.078562.0620469.392
Totaal kortlopende verplichtingen 2,4632,6692,4631,7031,7072,2351,9881,5211,5831,7881,7391,5561,5301,6401,8701,6371,5711,6081,6431,1221,2191,2681,4251,1111,0611,1721,7571,046.7161,008.2881,148.7511,378.583938.5091,021.9111,117.6171,458.0921,011.464969.5941,051.3841,768.761840.214735.69729.193833.485575.9160474.642
Langlopende verplichtingen:
Langetermijnschulden 9849849841,121529532537537540543536538541543397394401409417427435439391396402370383394.972404.157413.328422.495431.638447.399454.107464.39484.484489.553494.533524.412529.542569.65595.647812.208813.8960291.531
Uitgestelde opbrengsten niet-vlottend 242730122122000127013513713313813814214114514414614815615815915716268157.999151.837164.671159.301138.912130.523119.9105.48151.831.34817.0359.735-5.84856.25343.31145.309000
Uitgestelde belastingverplichtingen niet-vlottend 1313135798292226112121212264636261646765687270716890.84591.82891.84792.37354.41154.81554.77354.64169.22867.77765.71365.71373.1212.2926.4018.888000
Overige niet-vlottende verplichtingen 1191321255101351351369152789109101088910111816161011114.53411.07211.5287.8017.9418.3658.4177.5456.6946.7156.6494.9025.1895.82211.9995.2158.3510-291.531
Totaal niet-vlottende verplichtingen 1,1401,1561,1521,253668676680702698721689704704712566610615624630646660671635643645613630658.35658.894681.374681.97632.902641.102637.197632.057612.206595.393583.93604.762602.004634.017657.358871.615872.2470291.531
Totaal passiva 3,6033,8253,6152,9562,3752,9112,6682,2232,2812,5092,4282,2602,2342,3522,4362,2472,1862,2322,2731,7681,8791,9392,0601,7541,7061,7852,3871,705.0661,667.1821,830.1252,060.5531,571.4111,663.0131,754.8142,090.1491,623.671,564.9871,635.3142,373.5231,442.2181,369.7071,386.5511,705.11,448.1630830.407
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000000122.878122.878122.878122.878
Gewone aandelen 1,021996976953934910899878861837808790776758747730719703694676667651641623611595583567.971557.183543.6535.132522.91513.439501.786494.397485.873476.426462.655442.682411.449424.222420.212197.03871.017045.488
Ingehouden winsten -916-848-896-935-13-83-119-17-86-1337418-35-108-144-115-108-172-219-200-229-245-266-273-302-332-377-435.739-465.146-500.461-499.938-493.574-479.68-474.674-485.595-499.467-483.982-477.341-468.127-460.12-460.711-466.12-467.209-426.3030-110.851
Overige gereserveerde algehele resultaten -5-5-2-8-6-2-5-5-12-9-11334552-160110-13000-1-104-0.373-0.524-0.592-0.604-0.421-0.296-0.37-0.721-0.505-0.386-0.413-0.314-0.242-0.17-0.216-0.191-0.158-65.5580
Overige totale aandeelhoudersvermogen 000000000000000000160000130000104000000000000000-122.87800-0.195
Totaal eigen vermogen van aandeelhouders 1001437810915825775856763695881809744653607620616533475477439406375350309262206131.85991.51342.54734.5928.91533.46326.7428.081-14.099-7.942-15.099-25.759-48.913-36.659-46.124-270.362-232.56657.3257.32
Totaal eigen vermogen 1001437810915825775856763695881809744653607620616533475477439406375350309262206131.85991.51342.54734.5928.91533.46326.7428.081-14.099-7.942-15.099-25.759-48.913-36.659-46.124-270.362-232.56657.3257.32
Totaal passiva en aandeelhoudersvermogen 3,7033,9683,6932,9663,2903,7363,4433,0793,0443,2043,3093,0692,9783,0053,0432,8672,8022,7652,7482,2452,3182,3452,4352,1042,0152,0472,5931,836.9251,758.6951,872.6722,095.1431,600.3261,696.4761,781.5562,098.231,609.5711,557.0451,620.2152,347.7641,393.3051,333.0481,340.4271,434.7381,215.59757.320