Trinity Industries, Inc.

NYSE:TRN

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 105.779.6167.3132166.2179.2778.6563.4786887.9428.5573351.1354611.8161.8289.6311.5150.9182.34619.113.516.913.53.112.215.415.38.77.54.55.97.46.47.215.37.5
Kortetermijnbeleggingen 13.119.70000319.5234.784.975149.7001587000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 105.779.6167.3132166.2179.21,098.1798.1870.9962.9578.2573351.1512681.8161.8289.6311.5150.9182.34619.113.516.913.53.112.215.415.38.77.54.55.97.46.47.215.37.5
Nettovorderingen 368.7331.3233644.8274.8317398.7480.8464.8463.9372.7390385.9239.4171350296.5252.5250.1214.2198.1218.2245.7349.8357.4390.5236.9293.5270.3264.9203.2179.3157.1156.9141105.483.786.1
Voorraad 684.3629.4432.9321.2433.4524.7640.6665.8943.11,068.4814.7667.7549.9331.3231.5611.8586.7528.9444.2402.3258213.3352.5360.6397.1342.6314.5403.7395328.8211.2197.1198.5188.9225.9148.3103.278.2
Overige vlottende activa 129.4214.7135.196.4111.4171.6195.2178.2195.8234.7260.7251.10000000000000000000000010.19.436.1
Totaal vlottende activa 1,288.11,255968.31,194.4985.81,192.52,332.62,122.92,474.62,729.92,026.31,881.81,286.91,082.71,084.31,123.61,172.81,092.9845.2798.8502.1450.6611.7727.3768736.2563.6712.6680.6602.4421.9380.9361.5353.2373.3271211.6207.9
Niet-vlottende activa:
Materiële vaste activa, netto 7,004.86,886.86,846.97,003.47,110.66,334.46,134.75,966.85,3484,902.94,770.64,2994,179.54,1123,038.22,990.62,069.81,590.31,121.1810.9945.2947.4992.4813.2732.3726.9711.6692.3687.1667.1631561.9537.1491.4473.7170.6167.9138.5
Goodwill 221.5195.9154.2208.8208.8208.8780.3754.1753.8773.2278.2240.4225.9197.6180.8504503.5463.7433.4420.4415.1411.30000000000000000
Immateriële activa 000000000000000000433.4420.4415.100000000000000000
Goodwill en immateriële activa 221.5195.9154.2208.8208.8208.8780.3754.1753.8773.2278.2240.4225.9197.6180.8504503.5463.7433.4420.4415.1411.30000000000000000
Langetermijnbeleggingen -1,103.563.5-1,106.8-1,047.5-798.3-743.1-743.2-1,072.9-752.2-632.6-650.7-126.3-434.7-391-397.9-341.90000000000000000000000
Belastingvorderingen 1,103.51,134.71,106.81,047.5798.3743.1743.21,072.9752.2632.6650.7126.3434.7391397.9341.90000000000000000000000
Overige niet-vlottende activa 392.1-811.6266.5295.2396.2253.5295.6281.5309.5327.8238.3248.7428.7367.7353.1297.6297.1278.7186.8180.1145.5133.6221.8198184.6110.881.250.952.337.336.23230.430.331.1137.1125.9117.2
Totaal niet-vlottende activa 7,618.47,469.37,267.67,507.47,715.66,796.77,210.67,002.46,411.36,003.95,287.14,788.14,834.14,677.33,572.13,792.22,870.42,332.71,741.31,411.41,505.81,492.31,214.21,011.2916.9837.7792.8743.2739.4704.4667.2593.9567.5521.7504.8307.7293.8255.7
Totaal activa 8,906.58,724.38,235.98,701.88,701.47,989.29,543.29,125.38,885.98,733.87,313.46,669.96,1215,7604,656.44,915.84,043.23,425.62,586.52,210.22,007.91,942.91,825.91,738.51,684.91,573.91,356.41,455.81,4201,306.81,089.1974.8929874.9878.1578.7505.4463.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 305.3287.5206.4156.4203.9212.1175.4156.1216.8295.4216.3188.2207.4132.876.8-71.8684.3655.8629.9511.7460.20364.2360.9366.7386.6261.2222.9245.5161.6140.1152.789.183.30000
Kortlopende schulden 673.2242.1231.445.228-17.7-20.5-23.5-27.1-36.4-40.80-38.7-33.6-77.7557.6000000493.8170.11811016421622019215204629.53239.56.44.5
Belastingschulden 11.10000000000000000000000000000000000000
Uitgestelde opbrengsten -673.21,106.8-231.4-45.2-2817.720.523.527.136.440.8038.733.677.771.858.442.945.247.232.200000000000000000
Overige kortlopende verplichtingen 302.3-1,087.9307.4314.7342.1368.3440426.1529.6709.6567.4583.1421.3375.6374.5141.8-58.4-42.9-45.2-47.2-32.23960000019.21212.63200090.672.267.763.4
Totaal kortlopende verplichtingen 607.6548.5513.8471.1546580.4615.4582.2746.41,005783.7771.3628.7508.4451.3699.4684.3655.8629.9511.7460.2396858531547.7487.6325.2458.1477.5366.2187.1172.7135.1112.8122.6111.774.167.9
Langlopende verplichtingen:
Langetermijnschulden 5,754.25,607.65,170.65,0174,881.94,029.23,242.43,056.63,195.43,5532,989.83,0552,974.92,907.71,845.11,905.91,374.21,198.9689518395.2488.94495.4120.6149.6178.6206.4242.9277.9293.2356.8325358412.9198.6207.4175.9
Uitgestelde opbrengsten niet-vlottend 0000017.720.523.527.136.440.844.538.733.677.771.800058.257.800000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,103.51,134.71,106.81,047.5798.3743.1743.21,072.9752.2632.6650.7572.4434.7391397.9341.900047.232.207.158.53427.522.830.244.973.985.983.190.184.272.7000
Overige niet-vlottende verplichtingen 165.7163.9147.9150.296.356.863.779116.1109.499.389.195.773.678.165.6258167.4153.262.258.756.437.838.523.521.720.315.113.518.315.616.638.935.142.267.261.457.4
Totaal niet-vlottende verplichtingen 7,023.46,906.26,425.36,214.75,776.54,846.84,069.84,2324,090.84,331.43,780.63,7613,5443,405.92,398.82,385.21,632.21,366.3842.2685.6543.9545.388.9192.4178.1198.8221.7251.7301.3370.1394.7456.5454477.3527.8265.8268.8233.3
Totaal passiva 7,6317,454.76,939.16,685.86,322.55,427.24,685.24,814.24,837.25,336.44,564.34,532.34,172.73,914.32,850.13,084.62,316.52,022.11,472.11,197.31,004.1941.3946.9723.4725.8686.4546.9709.8778.8736.3581.8629.2589.1590.1650.4377.5342.9301.2
Eigen vermogen:
Preferente aandelen 00000000394.8401.50000000058.758.257.800000000000000000
Gewone aandelen 0.80.80.81.11.21.31.61.61.5155.781.781.781.781.781.781.781.68050.950.950.950.943.843.800000000000000
Ingehouden winsten 1,010.5992.61,046.61,769.42,182.92,326.14,123.43,497.33,220.32,489.91,8701,536.71,314.71,200.51,263.91,438.71,177.8908.8696.9626.2649.9672.6759.4860.6722.9567.5493.2464.8379.3317.4266.7208.1202.8189.6165.2143.8138.3142.3
Overige gereserveerde algehele resultaten 1119.7-17-30.9-153.1-116.8-104.8-113.5-115.4-111.9-78.2-150.1-134-95.5-98-161.3-61.6-69.2-40.2-25.3-27.3-34.9-21.1-19.8-481.3-475-424.9-406.7-401.6-402.900000000
Overige totale aandeelhoudersvermogen 14.8-0.7-0.6-0.8-0.90.2480.9533.1547.5462.2528.6584.7601.4578.1558.7472.1528.9483.9348.1302.9272.531396.9130.5717.5795741.2687.9663.5656240.6137.5137.195.262.557.424.220.1
Totaal eigen vermogen van aandeelhouders 1,037.11,012.41,029.81,738.82,030.12,210.84,501.13,918.54,048.73,397.42,402.12,0531,863.81,764.81,806.31,831.21,726.71,403.51,114.41,012.91,003.81,001.68791,015.1959.1887.5809.5746641.2570.5507.3345.6339.9284.8227.7201.2162.5162.4
Totaal eigen vermogen 1,275.51,269.61,296.82,0162,378.92,5624,8584,311.14,443.53,798.92,749.12,137.61,948.31,845.71,806.31,831.21,726.71,403.51,114.41,012.91,003.81,001.68791,015.1959.1887.5809.5746641.2570.5507.3345.6339.9284.8227.7201.2162.5162.4
Totaal passiva en aandeelhoudersvermogen 8,906.58,724.38,235.98,701.88,701.47,989.29,543.29,125.38,885.98,733.87,313.46,669.96,1215,7604,656.44,915.84,043.23,425.62,586.52,210.22,007.91,942.91,825.91,738.51,684.91,573.91,356.41,455.81,4201,306.81,089.1974.8929874.9878.1578.7505.4463.6