Trane Technologies plc

NYSE:TT

373.53 (USD) • At close December 27, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 2,068.91,796.21,457.2991.41,387.91,3791,337.71,459.8707.1915.7640.61,049.7426.1781.8487.8-2,624.83,966.71,032.51,053.1829.8593.5367.4246.2546.2591.1509.1380.5358270.3211.1163.5115.6150.6185.3202.2
Afschrijvingen & Amortisatie 348.1323.6299.4294.3397.4361.5353.3352.2364.1332.4333.7375.5402.7437.1424.9453.1138.8190.7195.7174.4194205.9362.5297272.4282.6212.3202.6179.4132.5123.5116.6108.797.380.6
Uitgestelde Inkomstenbelasting 00-56.8-520.6-116.60000029.473.9-74.681-32-334146.6-59.364-59.2-20.8-0.623.48.541.81.68.2-4.515.114.2-14.8-43.66.60.79.1
Aandelen Gebaseerde Vergoedingen 67.156.366.569.566.452.573.669.662.767.771.849.842.673.568.300000000000000000000
Verandering in Werkkapitaal -72.8-421.1-162.2480.5171-266-129.4-400.7-185-256.4-96.6-143-211.9-723.7627.3-923.7-266.4-186.8-422.8-164-494.9-18.7-130.9-147.2-42.2102.152.6-141.6-38.6-22.7-75-47.727.9-25.5-56
Vorderingen 0-345.4-265.45.9-77.8-78.5-156.7-101.3-79.8-119.9-214.3-34.200000000000000000000000
Voorraden 0-466.7-348.810918.4-169.9-112.426.8-6.3-230-39.4-29.5-14.3-219430.8120.775.4-116.10.6-174.8199.23.6-24.1-175.956.7-76.848.7-5.3-15.281.635.537.162.73.3-6.7
Crediteuren -125.3317.9275.375.880.6120.7167.2103.6-41157.2141-2.5-29251.528.100000000000000000000
Overig Werkkapitaal 52.573.1176.7289.8149.8-138.3-184.2-531.1-137.7-183.6-198.2-111-168.6-756.2168.4-1,044.4-341.8-70.7-423.410.8-694.1-22.3-106.828.7-98.9178.93.9-136.3-23.4-104.3-110.5-84.8-34.8-28.8-49.3
Overige Niet-Contante Posten -21.7-251-15.8119.913.4-66.7-38.188.9-35.1-18.5191.5-225601.945.7158.33,752.33123.4-80.9-27.8-123.7154.8100.469.66.23.649.9-28.8-22.6-10.50.2-51.2-3.4-5.48.9
Kasstroom uit Operationele Activiteiten 2,389.61,5041,588.31,4351,919.51,407.81,523.51,500.2851.1973.21,170.41,180.91,186.8695.41,734.6330.9896.1972.2809.1753.2148.1708.8601.6774.1869.3899703.5385.7403.6301.8164.9169.7231.1222.2214.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -300.7-291.8-223-146.2-254.1-365.6-221.3-182.7-249.6-233.5-242.2-262.6-242.9-179.5-204.2-306-119.7-212.3-111.8-108.6-107.9-122.9-200.6-186.6-351.7-276.6-186-195-211.7-196.4-132-131.7-140.9-149.2-110.4
Netto Overnames -862.8-234.7-269.2-192.3-1,525.9-263.8-153.4422.8-943.3-8.24.752.7354-140-7,054.46,128.6-121.5-514.7-33.7-21.3-112.7-158.3-2,336.6000000000019
Aankoop van Beleggingen 00000000000000077.4-43.516.4-153.20798.144.859.2-3.300-0.4-3.6000000-3.7
Verkoop/verval van Beleggingen 0000000422.500000007.80.7155.830.40147.65.597.227.41.51.40002.86.41.60.61.213.9
Overige Investeringsactiviteiten -8.7-13.9-53.5-37.7-1,493.4-0.74.243218.544.722.163.596.414.921.5-31.228.60.47.61,471.2-1.3-2.115.7961.9113.291.8-2,556.148.7-1,096.25264.924122.3-157.8-9.5
Kasstroom uit Investeringsactiviteiten -1,172.2-540.4-545.7-376.2-1,780-629.4-374.7240.1-1,192.9-197-215.4-146.4207.5-178.6-182.7-7,306.45,994.7-161.2-741.71,328.9815.2-187.4-186.8-1,537.2-237-183.4-2,742.5-149.9-1,307.9-141.6-60.7-106.1-18-305.8-90.7
Financieringsactiviteiten:
Schuldaflossingen -57.3-9.6-432.5-307.51,490.417.6-11.7-150.76.4700.2291.7-414.8-52.8-428.8-1,026.62,961.4-549.7-140.562.7-469.4-939.8-217.9-214.1872.5-267.5-972.92,060.4-128.9790.5-114.8-25.783.1-60.7149.7-163.2
Uitgifte van Gewone Aandelen 00000000000000018.5160.295.790.9170.7211.136.89.78.370.2425.843.316.3118.2313.113.51.96.14.5
Terugkoop van Gewone Aandelen -669.3-1,200.2-1,100.3-250-750.1-900.2-1,016.9-250.1-250.1-1,374.9-1,213.2-839.8-1,157.500-2-1,999.9-1,096.3-837.2-355.900-72.5-121.3-205.8-106.4-33000000-100-0.4
Uitgekeerde Dividenden -683.7-620.2-561.1-507.3-510.1-479.5-430.1-348.6-303.3-264.7-245.5-213.1-137.3-110.9-181-212.9-209.8-217.6-192.1-152.6-123.2-114.9-113.1-109.8-105.3-98.3-93.6-83.9-78.5-75.9-73.50-68.4-67-67.2
Overige Financieringsactiviteiten 60-22.2-33.71,949.140.3-16.726.244.256.779.91,513.6143.1101.2-29.5-0.531.636.1000000063.310-19.10000-72.10.100.1
Kasstroom uit Financieringsactiviteiten -1,350.3-1,852.2-2,127.6884.3270.5-1,378.8-1,432.5-705.2-490.3-859.5346.6-1,303.9-1,246.4-403.7-1,208.12,778.1-2,563.1-1,358.7-875.7-807.2-851.9-296-390647-445.1-752.41,958.2-196.5830.2-187.7-86.124.5-127.1-11.2-226.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 7.7-50.1-45.768.2-9.8-45.6118.4-57.2-136.3-148.7-72.8-9.2-1.524.5-17.312.351.829.4-14.2-7.34.12.8-7.8-32.4-7.83.81.67.54.46.6-6.9-8.20.78.73.6
Netto Kasstroomverandering -125.2-938.7-1,130.72,011.3400.2-646-165.3977.9-968.4-2321,228.8-278.6146.4137.6326.5-4,185.14,379.5-518.3-822.51,267.6115.5228.217-148.5179.4-33-79.246.8-69.7-20.911.279.986.7-86.1-99.2
Kaspositie aan het Einde van de Periode 1,095.31,220.52,159.23,289.91,303.6903.41,549.41,714.7736.81,705.21,937.2882.11,160.71,014.3876.7550.24,735.3362.3880.61,703.7457.7342.211474.4222.971.9104.9184.1137.3207.1228216.813750.3136.4