Unum Group

NYSE:UNM

56.24 (USD) • At close September 18, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 1,283.81,314.2824.27931,100.3523.4994.2931.4867.1413.4858.1894.4235.4886.1852.6553.2679.3411513.6-253-386.4401.2579.2564.2-182.9254247.3145.6281.1154.7312248.8205185.2155.4
Afschrijvingen & Amortisatie 108.8110.5119.8113.6110.1101.4103.4101.799.587.984.884.381.175.474.568.866.280.587.880.5761.8510.3573594.9653.7153.2138.975.10000000
Uitgestelde Inkomstenbelasting -64.1-52.7-35.4-30.4-26.6000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 64.152.735.430.426.626.329.521.923.822.623.624.200000000000000000000000
Verandering in Werkkapitaal -20.4145.41,136.82,011.6664.41,036.7279.4262436.3928299.7646.8823.1547.7528.5545.11,929.92,720.22,917.32,588.54,252.82,312.92,191.31,739.74,233.1115.7-65.7257.5-118.4-158.7-15.7-34.3-36.5-48.2-8
Vorderingen 602.7566678242.937.5-4.7-101.8-167.329.3-21.5-196.740.40000235.565.2-92.9-134.939.4266.7-186.3386.7130.10000000000
Voorraden 00000000000000000000000000000000000
Crediteuren 0000000000000000767.41,319.71,319.71,714.62,437.11,242.61,629.97812,391.10000000000
Overig Werkkapitaal -623.1-420.6458.81,768.7626.91,041.4381.2429.3407949.5496.4606.400009271,335.31,690.51,008.81,776.3803.6747.75721,711.90000000000
Overige Niet-Contante Posten -169.4-151.4-693.3-2,320.7-133.2-125-227.6-179-110.8-205.7-211.1-245.954.1-312.4-218.6159-925.1-1,779.8-2,015.1-1,669-3,283-1,437.7-1,572.9-1,687.3-3,137.2393.4506.5182.4593.4704.8259.8323.5498.7420.4406.5
Kasstroom uit Operationele Activiteiten 1,202.81,418.71,387.5597.51,741.61,536.51,149.41,116.11,292.11,223.61,031.51,379.61,193.71,196.81,2371,326.11,750.31,431.91,503.67471,345.21,786.71,770.61,211.51,566.7916.3827660.6756.1700.8556.1538667.2557.4553.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -134.8-102.2-110.3-119.1-150.9-144.1-105.3-85-100.2-114.5-105.5-105.40000000000-19.200000-27.1-29.9-18.2-20.1-43.6-137.1-6.6
Netto Overnames 00000-145.4-2,551-129.2-54.300000048.898.805.3-13.6-262.5-2.8-402.1-172.4058-860.300000000
Aankoop van Beleggingen -3,493.6-3,340.8-4,713.1-3,743.3-4,590.9-4,753-3,649-3,948.2-4,714.8-3,207.4-3,917.3-3,946.7-3,318.8-4,419.5-4,116.5-4,374.9-5,530.2-4,836.6-4,894.5-4,380.5-7,121.2-6,250.5-5,342.2-3,557.5-6,468.8-3,693.5-4,083.3-5,437.4-3,262.4-2,388.9-1,832.2-2,061.5-1,854.9-1,236.8-1,198.9
Verkoop/verval van Beleggingen 3,000.82,537.93,533.53,280.23,719.73,911.93,269.73,446.13,644.12,504.53,430.32,938.63,006.53,455.93,009.23,992.53,663.63,677.83,185.73,519.17,002.24,703.13,069.82,115.53,965.41,264.91,368.23,559.12,663.81,979.41,778.41,621.41,195.6839.3955.8
Overige Investeringsactiviteiten -98.3-50.8-50.7314.5-371.4200.52,5516.3512.2-69.2552.6-105.3-98-110.1-106.6-91.1-87.2-63.270.2-44.7-1,726.4-40.2957.1748.7948.82,543.83,413.82,888.10000000
Kasstroom uit Investeringsactiviteiten -725.9-955.9-1,340.6-267.7-1,393.5-930.1-484.6-710-713-886.6-39.9-1,113.4-410.3-1,073.7-1,213.9-424.7-1,855-1,222-1,633.3-919.7-2,107.9-1,590.4-1,736.6-865.7-1,554.6173.2-161.61,009.8-625.7-439.4-72-460.2-702.9-534.6-249.7
Financieringsactiviteiten:
Schuldaflossingen -2-364-500-480-493.1-260-63.5-414-226.3-186.6-116.2-70-84.4-78.3-251.8-240.8-775.2-739.2-7.4-11.3-274.5-419.7-2220-613-1,758.5-2,081.9-2,025.2-1.3-1.2-50.1-92.7000
Uitgifte van Gewone Aandelen 5.243.44.46.14.610.88.56.412.311.44.914.81084.4307.858018.15.7551.922.920.511.669.711.9389.85.80137.887.40000
Terugkoop van Gewone Aandelen -250.1-200.1-50494.1-400.3-356.2-401.8-405.2-417.9-306-317.2-496.7-619.9-3560-700800132.1175.5303.7580-4500867.7-156.21,105.3392.50-183.3-192.50-0.3-104.4-287
Uitgekeerde Dividenden -277.1-254.2-239.4-231.9-229.2-215.6-196-182.6-174.2-159.4-146.5-133.8-121-114.8-104.5-103.5-105.2-95.6-88.7-88.4-98.1-142.8-142.6-142.1-138.9-58.1-60-45.5-75.1-68.3-61.4-41.9-32.8-25.9-22.7
Overige Financieringsactiviteiten 73.9395.7617.1-3.5758.5237.4-37.3574.7243.3311.1-406.3390.190.1398346.8-9.6-46.2-34.3-26.5-27.8-24.5406.2327.6-399.5-18.6864.60.5-3.5-48.3-131.2-269.541.191.6116.92.4
Kasstroom uit Financieringsactiviteiten -450.1-418.6-168.9-216.9-358-589.8-687.8-418.6-568.7-328.6-974.8-305.5-720.4-141.1-1.5-1,049.5181.2-15771181.9734.8-178.4-16.5-530166.9-1,096.3-646.3-1,675.9-124.7-246.2-486.1-93.558.5-13.4-307.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000.1-1.11.31.3-2.62.34.92.9-0.7-1.12.2-0.2-0.700.70.12.40.10.40.3-304.2
Netto Kasstroomverandering 26.844.2-122112.9-9.916.6-23-12.510.48.416.8-39.363-1821.7-149.277.854.2-61.311.5-2320.816.8-185.3181.2-718.4-5.56.415.30.4-15.623.29.7-307.3
Kaspositie aan het Einde van de Periode 146119.27519784.19477.4100.4112.9102.594.177.3116.653.671.649.9199.1121.369.4130.7119.2144.7123.9107.1292.430.737.719.342.536.120.817.332.99.7-304.2