Thomson Reuters Corporation

NYSE:TRI

178.77 (USD) • At close September 4, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 2,089.612,694.5251,335.8855,636.961,209.6981,606.5155.636659.909992.913986.4021,820.337123.1622,076.205-1,354.485942.276893.1471,128.9531,191.989888.848686.687929.7258446066571,250.833560.0331,818.076579.014580.956799.56
Afschrijvingen & Amortisatie 782.533738.296695.313763.225833.839733.669587.433626.7581,533.3351,457.0391,737.3771,774.6931,754.9361,660.5551,631.621,692.7371,141.919834.175685.154696.0221,018.7879118761,024842.112695.03644.034667.016553.958477.301
Uitgestelde Inkomstenbelasting -609.271-395.115-76.83656.175-243.203-1,427.432-163.228-296.285-10.868-178.676-260.321420.884-118.468-196.274-212.504-591.80526.797-134.86-117.928-60.163-3.2582210175-70.676-29.03268.02860.02148.01257.059
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000
Verandering in Werkkapitaal 167.55465.3817.683824.679107.388-252.742-79.716-156.4317.784-171.308-411.93658.187-159.631-271.091-57.013-238.245258.466-144.648-48.731-59.126-174.866-936978-330.711-72.994000-10.048
Vorderingen 24.752-84.522-26.89175.33130.532118.697-319.814-20.71929.639-46.972-109.65945.5888.349-159.351-44.574137.073872.215-146.824-137.421-71.573-59.737000000000
Voorraden 00000000000000000002.075-5.431-20-29-34.001-10.9910000
Crediteuren -137.086-169.044-131.57282.27-140.026-225.115204.985-139.855217.354-56.182-145.894-3.879-164.651-266.23349.757-154.47990.766107.67165.29971.57315.206000000000
Overig Werkkapitaal 279.884718.947166.145667.078216.882-146.32535.1134.144-229.21-68.155-156.38316.486-83.329154.493-62.196-220.839-704.515-105.49523.391-61.2-124.905-739881-334.711-62.0030000
Overige Niet-Contante Posten -91.391-1,119.154-81.632-5,138.386-70.53958.3251,456.7191,268.019414.949520.371-629.346-337.483-838.3132,684.678447.8141,144.447-169.429228.392663.712685.649193.331-3039-211-0.667-151.033-1,632.082-115.005-214.009-368.243
Kasstroom uit Operationele Activiteiten 2,339.032,383.9311,880.4192,742.6531,837.183718.321,956.8442,101.9692,948.1132,613.8282,256.1112,039.4422,714.7292,523.3832,752.1922,900.2812,386.7061,975.0482,071.0561,949.071,963.7181,6541,6911,6231,095.4791,117.025898.0551,191.046968.916657.426
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -577.856-553.976-571.425-482.715-530.625-516.74-546.626-537.665-894.116-875.881-923.041-973.657-980.877-1,011.491-1,137.158-1,193.401-811.705-664.512-443.45-444.998-683.174-577-523-684-584.745-809.014-1,361.07-683.036-3,963.809-806.527
Netto Overnames -647.351-812.63424.0099.912381.123-938.319-422.30649.726-105.71342.366-145.894-670.116602.381-846.31-607.452-318.748-7,138.508-507.901-636.423-248.95-1,346.798-211-272-2,419-2,823.7100000
Aankoop van Beleggingen 000000000000000000000000000000
Verkoop/verval van Beleggingen 1,764.9835,523.470000000000000000000000000000
Overige Investeringsactiviteiten -257.988-579.43562.425-1,012.0164.21138.88314,946.795-596.7153,159.539-28.55147.67870.794103.409102.0248.29327.197-56.1887,570.656-177.38-416.991440.968327-115882,028.27250.0171,999.096281.0071,140.97533.333
Kasstroom uit Investeringsactiviteiten 281.7883,577.424-484.991-1,484.819-145.29-1,416.17613,977.863-1,084.6532,159.71-862.066-1,021.258-1,572.979-275.087-1,755.777-1,736.317-1,484.953-8,006.4016,398.243-1,257.253-1,110.939-1,589.004-461-910-3,015-1,380.184-558.996638.026-402.029-2,822.838-273.194
Financieringsactiviteiten:
Schuldaflossingen -408.402-1,584.5351,000.7130391.6520-3,805.501-487.939-1,030.456411.692343.28994.022-425.68298.137-322.385-150.127905.928396.96719.492-37.342-110.785-247-7441,889565.409-259.902-1,529.039-274.9911,660.927-109.058
Uitgifte van Gewone Aandelen 000000000000000000000243700000326.0120
Terugkoop van Gewone Aandelen -608.319-3,181.29-1,231.204-1,387.681-210.565-499.345-9,453.966-1,035.963-1,652.88-1,305.072-975.487-387.911-168.667-316.75900-451.235-182.714-401.541-265.5470-31100000000
Uitgekeerde Dividenden -903.435-908.358-803.836-768.181-770.669-717.297-856.95-992.453-970.19-934.826-987.883-1,009.539-1,028.063-935.702-933.983-986.705-519.526-672.125-543.835-527.981-528.944-669-305-279-270.703-254.994-269.01-235.047-195.987-179.098
Overige Financieringsactiviteiten -55.215-54.99-75.87-97.138-88.437-12.279-57.889-63.194-13.83212.894123.009-18.42665.258-37.894-7.256-6.527-33.713-46.76637.0353.112-43.445-1-2-19-0.667-0.0690-90.031-9.048-29.043
Kasstroom uit Financieringsactiviteiten -1,975.372-5,729.174-1,110.196-2,253-678.02-1,228.921-14,174.306-2,579.548-3,667.358-1,815.312-1,497.082-421.853-1,557.154-1,192.218-1,263.624-1,143.359-98.546-504.638-888.848-827.758-683.174-1,228-6141,591294.039-515.034-1,798.114-600.071,781.904-317.198
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 30.024-9.3386.336-14.887-51.87252.77775.6687.233-668.46512.5516.2280.39-86.488-17.388673.749-184.969-1,427.76-705.6532.045396.6270910-4-2-8.0182.972-10.00343.999-14.008
Netto Kasstroomverandering 675.47222.844291.568-1,010.053962-1,8741,836-875772-51-24645796-44242687-7,1467,163-734070-261771958.00135.045-259.061179.014-28.01953.025
Kaspositie aan het Einde van de Periode 1,966.8291,291.3591,068.515776.9471,7878252,6998631,7389661,0171,2631,2184228644383517,497334407405683709532336.712329.025306.997524.029344.984373.231