Trane Technologies plc

NYSE:TT

395.92 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,095.31,220.52,159.23,289.91,303.6903.41,549.41,714.7736.81,705.21,937.2882.11,160.71,014.3876.7550.24,735.3362.3880.61,703.7457.7342.211474.4222.971.9104.9184.1137.3207228216.8136.950.3136.4255.9175.7231.276.5
Kortetermijnbeleggingen 00000000000000000.10.7156.501.907.4125.60.500000000000000
Liquide middelen en kortetermijnbeleggingen 1,095.31,220.52,159.23,289.91,303.6903.41,549.41,714.7736.81,705.21,937.2882.11,160.71,014.3876.7550.24,735.43631,037.11,703.7459.6342.2121.4200223.471.9104.9184.1137.3207228216.8136.950.3136.4255.9175.7231.276.5
Nettovorderingen 2,956.82,780.12,429.42,202.12,798.12,679.22,477.42,2232,150.62,1192,071.52,157.52,145.82,344.22,120.22,428.51,660.71,996.21,6791,498.41,712.81,405.31,482.91,323.5988.51,177.11,281.51,066.21,109.9949.4797.5823.1652.3672.2611.5584.2495.8556.5574.2
Voorraad 2,152.11,993.81,530.81,189.21,712.21,677.81,555.41,385.81,410.71,358.91,166.11,308.81,2821,400.81,193.21,615.1827.21,320.31,128.81,058.81,009.11,189.81,295.31,022.9742.1940.8854.8775.1912.6679.3713.7770.3746.9833.9739.6744.2628.4595.9695.9
Overige vlottende activa 665.7384.8351.5224.4403.3471.6536.9255.8311.3524.8541.9594.3594.1611.4637.2805.9477.4416.4403.3348.8357.1794288.2776.4914.3237.8303.7510.2185.8167.2163157.4146140.7111.277.359.157.677.2
Totaal vlottende activa 6,869.96,379.26,470.96,905.66,217.25,7326,119.15,579.34,609.45,707.95,716.74,942.75,182.65,370.74,827.35,399.77,700.74,095.94,248.24,609.73,538.64,112.43,187.83,322.82,868.32,427.62,544.92,535.62,345.62,002.91,902.21,967.61,682.11,697.11,598.71,661.61,3591,441.21,423.8
Niet-vlottende activa:
Materiële vaste activa, netto 1,772.21,536.11,398.81,349.51,806.21,730.81,551.31,5111,575.11,4771,468.41,652.61,640.61,776.51,912.81,968.5904.91,276.31,0761,013.21,213.11,279.91,6331,5281,240.21,347.61,283.21,145.41,278.4959.3875.1847.1783.1765.9606.5573.2539.7516.5552.4
Goodwill 6,095.35,503.75,504.85,342.86,783.15,959.55,935.75,658.45,730.25,389.85,540.66,138.96,105.16,560.26,6066,620.13,993.34,604.80004,005.500000000000000000
Immateriële activa 3,439.83,2643,305.63,286.44,148.83,634.73,742.93,785.13,926.13,783.93,9224,200.94,337.14,872.95,042.85,214.1724.6736.25,231.94,829.25,070.9890.95,689.35,105.33,726.33,774.33,8331,1781,253.6124.5105.9113.2217212.600000
Goodwill en immateriële activa 9,535.18,767.78,810.48,629.210,931.99,594.29,678.69,443.59,656.39,173.79,462.610,339.810,442.211,433.111,648.811,834.24,717.95,3415,231.94,829.25,070.94,896.45,689.35,105.33,726.33,774.33,8331,1781,253.6124.5105.9113.2217212.600000
Langetermijnbeleggingen 0239.6-581.5-578.5-682-538.4-757.5-884.9-896.10-1,335.8-1,592.8-1,530.3-1,675.4-1,933.3000000000000000000000000
Belastingvorderingen 0680.1581.5578.5682538.4757.5884.9896.101,335.81,592.81,530.31,675.41,933.3000000000000000000000000
Overige niet-vlottende activa 1,214.7478.91,379.71,272.41,537857.9824.3863.6898939.91,010.41,557.81,488.81,410.61,602.11,722.11,052.71,432.71,200.3962.5842.3520.9553.6572.4565.4760754.5762.6685.7510.2492.1459.7297.4306.9389.4248.4349.5397.6266.6
Totaal niet-vlottende activa 12,52211,702.411,588.911,251.114,275.112,182.912,054.211,818.112,129.411,590.611,941.413,550.213,571.614,620.215,163.715,524.86,675.58,0507,508.26,804.97,126.36,697.27,875.97,205.75,531.95,881.95,870.73,0863,217.71,5941,473.11,4201,297.51,285.4995.9821.6889.2914.1819
Totaal activa 19,391.918,081.618,059.818,156.720,492.317,914.918,173.317,397.416,738.817,298.517,658.118,492.918,754.219,990.919,99120,924.514,376.212,145.911,756.411,414.610,664.910,809.611,063.710,528.58,400.28,309.58,415.65,621.65,563.33,596.93,375.33,387.62,979.62,982.52,594.62,483.22,248.22,355.32,242.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,025.22,091.61,787.31,520.21,809.21,705.31,556.11,3341,249.31,2901,1631,230.21,225.21,318.61,0791,046.5721.21,026.8812.5684738.9730.37611,698.71,224.41,488.61,370.51,095.41,129.8883.8762.4823.1621.9604.9530.80000
Kortlopende schulden 801.91,048350.4775.6650.5350.61,107360.8504.2482.7367.7963.7763.3761.6876.72,350.47411,079.4932.7612.8800.71,155.5563.72,121.8495.5318.7925.1162.3155.4134.2206.900317.7106.4138.161.4215.2110.1
Belastingschulden 000000000061.40000000000000000000000000000
Uitgestelde opbrengsten 1,247.41,010.6805.40000000000000000001,617.100000000000000000
Overige kortlopende verplichtingen 1,9791,536.61,539.32,043.12,402.22,259.82,164.91,895.51,894.91,893.41,877.91,967.42,1362,144.72,022.52,114.51,773.51,507.41,454.51,580.11,513.4295.21,526.3146.11941.532.232.54422.155256.7156.641.838.3546.5500.6495.8543.3
Totaal kortlopende verplichtingen 6,053.55,686.84,482.44,338.94,861.94,315.74,8283,590.33,648.43,666.13,408.64,161.34,124.54,224.93,978.25,511.43,235.73,613.63,199.72,876.93,0533,798.12,8513,966.61,738.91,848.82,327.81,290.21,329.21,040.11,024.31,079.8778.5964.4675.5684.6562711653.4
Langlopende verplichtingen:
Langetermijnschulden 3,977.93,788.34,491.74,496.54,922.93,740.72,9573,709.43,734.83,741.73,153.52,269.32,879.32,922.33,219.92,773.7712.7905.21,184.31,267.61,518.62,092.12,900.71,540.12,113.32,1662,5281,163.81,304.4315.9314.1355.6375.9265.2279.9300.5313.4316.1420
Uitgestelde opbrengsten niet-vlottend 596.9471.4-581.5-578.5-682-538.4-757.5-884.9-896.1-1,174.3-1,335.8-1,592.81,709.91,490.81,954.2000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 703.7680.1581.5578.5682538.4757.5884.9896.11,174.31,335.81,592.81,530.31,675.41,933.32,184.8000000170.1000000000137130.4129.5120.5118.7106.693.2
Overige niet-vlottende verplichtingen 1,042.91,349.82,812.62,894.23,395.12,793.73,181.43,379.43,476.43,845.33,964.74,8331,497.81,618.41,699.73,692.52,422.42,222.31,610.41,536.31,479.11,326.11,114.81,416.1966.81,051.11,090.5963.4963.4555.5540.8512.655.166.132.8132.9118.5114.121
Totaal niet-vlottende verplichtingen 6,321.46,289.67,304.37,390.78,3186,534.46,138.47,088.87,211.27,5877,118.27,102.37,617.37,706.98,807.18,6513,135.13,127.52,794.72,803.92,997.73,418.24,185.62,956.23,080.13,217.13,618.52,127.22,267.8871.4854.9868.2568461.7442.2553.9550.6536.8534.2
Totaal passiva 12,374.911,976.411,786.711,729.613,179.910,850.110,966.410,679.110,859.611,253.110,526.811,263.611,741.811,931.812,785.314,162.46,370.86,741.15,994.45,680.86,050.77,216.37,036.66,922.84,8195,065.95,946.33,417.43,5971,911.51,879.21,9481,346.51,426.11,117.71,238.51,112.61,247.81,187.6
Eigen vermogen:
Preferente aandelen 0000042.100000000000000000000000000001000000
Gewone aandelen 251.7253.3259.7263.3262.8266.4274271.7269266.3282.7295.6297.1328.2320.6318.8272.6306.8330.7173.1174.5169.2168343.1342.300000000000000
Ingehouden winsten 9,133.78,320.98,353.28,495.39,730.89,439.88,903.28,018.86,897.96,540.86,794.56,358.75,547.85,389.44,837.94,547.47,388.85,456.15,558.95,028.33,978.73,457.43,745.83,612.73,053.12,567.32,156.51,869.61,595.51,403.71,268.51,199.41,505.91,423.71,305.31,161.71,060.11,002.5964.9
Overige gereserveerde algehele resultaten -670.8-766.2-637.6-631.5-1,006.6-964.1-778.8-1,290.5-1,120.9-714.3-166.7-521-553.6-325-434.3-450.8246.5-358.1-127.662.8-270.5-513.1-321.4-248.4-17700000000000000
Overige totale aandeelhoudersvermogen -1,719.4-1,702.8-1,702.2-1,700-1,674.6-1,719.4-1,191.5-281.7-166.8-47.4220.81,0961,6332,571.72,377.62,246000469.6610.6364.7324.2-212.2-135.4140.2184.9221.2200127.681.394127.2132.771.68375.510590.3
Totaal eigen vermogen van aandeelhouders 6,995.26,105.26,273.16,427.17,312.47,064.87,206.96,718.35,879.26,045.47,131.37,229.36,924.37,964.37,101.86,661.47,907.95,404.85,7625,733.84,493.33,478.23,916.63,495.23,0832,707.52,341.42,090.81,795.51,531.31,349.81,293.41,633.11,556.41,476.91,244.71,135.61,107.51,055.2
Totaal eigen vermogen 7,0176,121.86,290.36,446.57,357.27,106.97,273.56,792.85,941.76,103.47,193.77,310.87,012.48,059.17,205.76,762.18,005.45,404.85,7625,733.84,614.23,593.34,027.13,605.73,581.23,243.62,469.32,204.21,966.31,685.41,496.11,439.61,633.11,556.41,476.91,244.71,135.61,107.51,055.2
Totaal passiva en aandeelhoudersvermogen 19,391.918,081.618,059.818,156.720,492.317,914.918,173.317,397.416,738.817,298.517,658.118,492.918,754.219,990.919,99120,924.514,376.212,145.911,756.411,414.610,664.910,809.611,063.710,528.58,400.28,309.58,415.65,621.65,563.33,596.93,375.33,387.62,979.62,982.52,594.62,483.22,248.22,355.32,242.8