Unum Group

NYSE:UNM

69.42 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 146119.27519784.19477.4100.4112.9102.594.177.3116.653.671.649.9199.1121.369.4130.7119.2144.7123.9107.1292.430.737.719.300000000000
Kortetermijnbeleggingen 38,444.61,394.81,3881,4701,294.543,979.846,612.944,997.344,161.746,039.243,257.846,433.31,423.51,163.1865.51,183.11,486.8648.4417.9410.2332.2218.4379.7279.4321.528.957.5252.300000000000
Liquide middelen en kortetermijnbeleggingen 38,590.61,5141,4631,6671,378.644,073.846,690.345,097.744,274.646,141.743,351.946,510.61,540.11,216.7937.11,2331,685.9769.7487.3540.9451.4363.1503.6386.5613.959.695.2271.600000000000
Nettovorderingen 10,652.111,700.712,439.212,2586,383.66,277.96,544.96,469.76,323.56,610.66,504.66,475.21,672.21,665.81,761.11,784.87,074.77,569.37,588.49,002.38,336.17,697.38,013.47,897.85,505.93,199.41,153.6580.7224.3189.7165.5141.5130.2106.484.80000
Voorraad -53,134.50-4,370.5-4,768.8-4,510.3-47,459.3-57,998.6-55,741.40000000000000000000000000000000
Overige vlottende activa 4,862.7-10,173.34,370.54,768.84,510.34,447.65,241.24,551.90000000000000032,864.131,008.831,221.619,006.921,087.3000000000000
Totaal vlottende activa 970.93,041.413,902.213,9257,762.27,340477.8377.9288.1326.2164433.5473.9666.7400254.9361.5143.8399.118580.48,060.441,381.139,293.137,341.422,265.922,336.1852.3224.3189.7165.5141.5130.2106.484.80000
Niet-vlottende activa:
Materiële vaste activa, netto 485.3451.7462.7498534.1546.9504.8500.6523.9531.7511.9501.6493.3476.8443.5409.4393.7370.1379.5398.5410.6417.9386.9387.5399.7129.9109.259153.7153.4143.5103.397.863.455.80000
Goodwill 349.9347.6352.2353351.7350.3338.6335.1230.9198.7200.9201.7201.2201.2201.60204.3204.1273271.1476.7666.4674.7683.3706.4692.3732.3000000000000
Immateriële activa 63.962.973.183.888.796.727.931.92415.21923.5000200.500000000000000000000000
Goodwill en immateriële activa 413.8347.6425.3353351.7350.3338.6335.1230.9198.7200.9201.7201.2201.2201.6200.5204.3204.1273271.1476.7666.4674.7683.3706.4692.3732.3000000000000
Langetermijnbeleggingen 38,444.636,235.644,72445,607.348,738.243,979.846,612.944,997.344,161.746,039.243,257.846,433.343,910.241,198.738,779.933,317.237,141.535,649.935,288.332,911.531,557.927,732.624,783.622,892.822,716.615,173.317,409.411,401.800000000000
Belastingvorderingen 118.1449.8144.5158.8122.7116.7121.5210.7160.1160.168.10000000000000000000000000000
Overige niet-vlottende activa -39,343.7-36,235.6-144.5-158.8-122.7-20-47,456.3-45,833-44,916.5-46,769.6-43,970.6-47,136.6-44,604.7-41,876.7-39,425-33,927.1-37,739.5-36,224.1-35,940.8-33,581.1-32,445.2-28,816.9-24,783.6-22,892.8-22,716.6-15,173.3-17,409.4-11,460.8-153.7-153.4-143.5-103.3-97.8-63.4-55.80000
Totaal niet-vlottende activa 118.11,249.145,61246,458.349,62444,973.7121.5210.7160.1160.168.147,136.644,604.741,876.739,42533,927.137,739.536,224.135,940.833,581.132,445.228,816.91,061.61,070.81,106.1822.2841.511,460.8153.7153.4143.5103.397.863.455.80000
Totaal activa 63,255.261,434.970,115.670,625.867,013.461,875.664,013.161,941.560,589.762,450.259,403.662,236.160,17957,307.754,505.749,417.452,432.752,823.351,866.850,832.349,718.345,259.542,442.740,363.938,447.523,088.123,177.614,992.514,787.813,127.212,437.311,213.910,668.19,513.68,556.48,127.27,370.36,950.55,681.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000000000000000000000000000000000000
Kortlopende schulden 19.2222.625.4399.70199.90352.4151.976.5455.8312.3225.10190.5175042.9227201.9255161.8402.21,07539.4150.7000000000000
Belastingschulden 190190.9159.10256.7242.920.660054.238.2135.7114.5115.5148.644.418.30.332.80528.9499.2271.658.540.334.600000000000
Uitgestelde opbrengsten 0114.90000000000000000000000000000000000000
Overige kortlopende verplichtingen -9,467.876-11,537.3-11,479-399.7-4,510.30-4,432.30-151.9-76.2-449.2-309.800-58.3000-1040478.834,037.232,469.830,92330,587.629,519.325,96200000000000
Totaal kortlopende verplichtingen -9,448.6192.9-11,514.7-11,453.6399.7-4,510.3199.9-4,432.3352.4151.90.36.62.5225.10132.2175042.9123201.9733.834,19932,87231,99830,62729,67025,96200000000000
Langlopende verplichtingen:
Langetermijnschulden 3,430.43,429.83,442.23,345.73,326.62,971.32,938.32,999.42,827.52,780.62,688.53,211.22,570.22,631.32,549.62,259.42,515.22,659.63,261.62,8622,7891,9142,004.21,615.51,166.5600725200583.8428.7238.6178194.8115.200000
Uitgestelde opbrengsten niet-vlottend 8.83.13.75.68.512.5-598.950,237.6-768.20-957.6-1,584.4-1,190.4-1,430.844,537.90-1,497.442,942.5-1,389.3-1,060.6-914-1,036.400000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 279.2458.4416.195.4737.4199130.391.862144.3269.4261.2417.2273.20251.7567.3989.71,060.69141,036.400000000000000000
Overige niet-vlottende verplichtingen -35.848,602.4-3.7-5.6-8.549,532.61,069.5-393.8838.5-612.3541.61,018803566.6-1,355.1-407.1501.2-1,064.9641.1849.2538505.6299.8300.5300.5898665565-583.8-428.7-238.6-178-194.8-115.200000
Totaal niet-vlottende verplichtingen 3,430.452,044.53,900.63,761.83,42253,253.83,607.952,973.52,989.62,230.32,416.82,914.22,4442,184.346,005.61,852.31,770.745,104.53,503.13,711.23,3272,419.62,3041,9161,4671,4981,390765583.8428.7238.6178194.8115.200000
Totaal passiva 3,430.452,237.43,900.63,761.857,048.453,253.854,438.252,973.551,925.853,928.350,744.553,623.551,60248,363.346,005.643,019.544,392.845,104.544,502.943,608.242,447.338,116.336,202.834,488.433,165.319,679.619,898.313,253.9583.8428.7238.6178194.8115.200000
Eigen vermogen:
Preferente aandelen 00000000000000370.800000003.5000156.2156.200000000000
Gewone aandelen 19.430.830.730.730.630.530.530.430.330.236.13635.936.536.436.336.334.430.129.829.824.424.224.124.1135.7135.245.600000000000
Ingehouden winsten 11,431.512,912.111,853.211,269.610,728.79,863.19,542.28,7447,995.27,302.38,083.27,371.67,031.27,060.86,289.55,527.15,077.44,925.84,610.44,185.54,526.95,011.44,816.34,379.73,957.61,834.31,635.21,439.71,713.21,507.21,420.8890.4685.2513353.7275.6161.686.588.7
Overige gereserveerde algehele resultaten -3,308-2,756.6354.1374.237.3-814.2127.5-5116.1166.4255628448.9341.9-29.8-958.2463.5612.81,163.51,481.11,171.2922.4-3.5140.70685.7603.685.700000000000
Overige totale aandeelhoudersvermogen 1,508.5-988.8-821.6-803.5-831.6-457.6-125.3244.6622.31,023284.85771,0611,505.21,833.21,792.72,462.72,145.81,559.91,527.71,543.18851,099.41,0311,000.5752.8749.111.4589.7408.2681.9796.1782.3723.7859.61,084.51,168.61,253.16.2
Totaal eigen vermogen van aandeelhouders 9,651.49,197.511,416.410,8719,9658,621.89,574.98,9688,663.98,521.98,659.18,612.68,5778,944.48,500.16,397.98,039.97,718.87,363.97,224.17,2716,843.25,939.95,575.54,982.23,408.53,279.31,738.62,302.91,915.42,102.71,686.51,467.51,236.71,213.31,360.11,330.21,339.694.9
Totaal eigen vermogen 9,651.49,197.511,416.410,8719,9658,621.89,574.98,9688,663.98,521.98,659.18,612.68,5778,944.48,500.16,397.98,039.97,718.87,363.97,224.17,2717,143.26,239.95,875.55,282.23,408.53,279.31,738.62,302.91,915.42,102.71,686.51,467.51,236.71,213.31,360.11,330.21,339.694.9
Totaal passiva en aandeelhoudersvermogen 63,255.261,434.970,115.670,625.867,013.461,875.664,013.161,941.560,589.762,450.259,403.662,236.160,17957,307.754,505.749,417.452,432.752,823.351,866.850,832.349,718.345,259.542,442.740,363.938,447.523,088.123,177.614,992.514,787.813,127.212,437.311,213.910,668.19,513.68,556.48,127.27,370.36,950.55,681.1