Valhi, Inc.

NYSE:VHI

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990198919881987
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 429.6478.5698.4518.6523.8499.8435.7159.8202.3255.8142.8366.996.468.768.737138.3189.153274.963267.829103.39494.679154.413135.017175224.6360.4255.7170.9170.722.244.511.3462244.3231.1195.8
Kortetermijnbeleggingen 56.175.12.64.42.12.534.422.73.80.922.56.16.18.87.212.62811.7559.4466.1479.71718.46500000000000000
Liquide middelen en kortetermijnbeleggingen 485.7553.6701523525.9502.3438.7164.2204.3258.5146.6367.8118.974.874.845.8145.5201.781286.718277.275109.541104.396172.878135.017175224.6360.4255.7170.9170.722.244.511.3462244.3231.1195.8
Nettovorderingen 340.4281.9403.7342.3329.2337.6365.8272.2246.6303.9303.3302.5316222.9222.9205.2253.7230.946220.289226.745227.12174.57163.154183.876202.2196174.4178.7232.4207.661.457.259.8209.8365.7304.9292.1
Voorraad 596.1640.8458.7538.2522.1515.8398.4360.6405.2443430.6650.3464.5312312408.5337.9309.029283.157263.414293.113239.533262.733242.994219.6246.3204.7251.6518.3498.1276.1265.3261.3457.2480.6415.5421.8
Overige vlottende activa 53.266.9109.83621.238.13227.932.932.635.125.120.738.538.536.933.837.60126.4931.65644.4183.1613.564105.2241.38.611.2151.71059.734.7137.6164.1120159.614.815.5
Totaal vlottende activa 1,475.41,589.51,673.21,453.41,425.41,408.81,262.2837.4896.21,0629491,363.4944.2648.2648.2696.4770.9779.357816.654799.09674.192604.13689.837667.107638.1675.5750.7837.7931.6936.1394.4504.6496.51,2491,250.2966.3925.2
Niet-vlottende activa:
Materiële vaste activa, netto 559.4545.3583.5616.5592563.5588.7654.5665.7733.6796.4763.1723.8680.6680.6641681.3611.321576.361652.795638.158564.126518.259537.547565.4527.3541.7690.2874.7807.7203.3188.3194.4963.1925.1831.9929.5
Goodwill 379.7379.7379.7379.7379.7379.7379.7379.7379.7379.7379.7379.7400.1396.9396.9396.8406.8385.190000000000000000000
Immateriële activa 000000042.953.258.364.765.92.11.41.422.73.916365.215357.24381.396369.407349.058359.42356.5259.3256.5258.4252.8248.1000229.3237.9245.4306.7
Goodwill en immateriële activa 379.7379.7379.7379.7379.7379.7379.7422.6432.9438444.4445.6402.2398.3398.3398.8409.5389.106365.215357.24381.396369.407349.058359.42356.5259.3256.5258.4252.8248.1000229.3237.9245.4306.7
Langetermijnbeleggingen 230.7114.1105.2106.296.486.1342.2332.4337.8344.6355.6382.9459.8395.6395.60000000000000000000000
Belastingvorderingen 6740.586.8120.2106101119.81.21.3164.4149.2120.3132.7185.5185.5166.4168.7264.38213.726239.5217.0331.9343.81800000000000000
Overige niet-vlottende activa 24.8166.6176.8213.3194.9170.5214.9195.1203.5224.6272.695.2175.3102.1102.1486.8572.6760.562606.421550.881510.249535.184592.875692.747675.2780.1629.2358.7513.1488.8306.2384.1486.2803.8684.9247.6249.1
Totaal niet-vlottende activa 1,261.61,246.21,3321,435.91,3691,300.81,645.31,605.81,641.21,905.22,018.21,807.11,893.81,762.11,762.11,6931,832.12,025.3691,761.7231,800.4371,536.8361,470.6511,464.011,589.7141,597.11,566.71,427.41,307.31,640.61,544.6509.5572.4680.61,996.21,847.91,324.91,485.3
Totaal activa 2,7372,835.73,005.22,889.32,794.42,709.62,907.52,443.22,537.42,967.22,967.23,170.52,8382,410.32,410.32,389.42,6032,804.7262,578.3772,599.5272,211.0282,074.7812,153.8472,256.8212,235.22,242.22,178.12,1452,572.22,480.7903.91,0771,177.13,245.23,098.12,291.22,410.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 258.6199.4152.7117.6144.7111.5116.194.4104.8136.2133.2169.6196.3124.5124.5121115.6118.984105.65109.158118.781108.97114.47481.5727167.671.6203.2403.3424.7223.5251.1249.5462.3523.900
Kortlopende schulden 4.65.66.89.111.12.91.67.89.59.310.729.6192.52.59.416.81.2421.61514.4125.3924.127111.173104.32384.9101.890.8274.3209.7187.5133.8232.5121.4325.1628.1295.3324.8
Belastingschulden 15.713.312.315.710.29.125.15.15.77.88.923.126.53.93.92.91.51.760000000000000000000
Uitgestelde opbrengsten 88.8110.7125.820.110.328.328.33221.819.836.95.43.53.93.9133.1136.5121.941133.742155.289134.032153.093168.30900000000000000
Overige kortlopende verplichtingen 155.1177.1178.2171.3156.4208.3185.1159.9150.5165.9213.9193.9196.8168.3168.330.728.811.09538.43432.80334.55928.46647.726212.088196.3183.2161.786.249.3447.55.47.234.232.9583.8566.7
Totaal kortlopende verplichtingen 507.1492.8463.5318.1322.5351331.1294.1286.6331.2394.7398.5415.6299.2299.2294.2297.7253.262279.441311.662292.764294.656441.682397.983352.2352.6324.1563.7662.3656.2364.8489378.1821.61,184.9879.1891.5
Langlopende verplichtingen:
Langetermijnschulden 545.8575.1665.7805811.6797.51,041.5957.2951924.8741.8880.5717.4988.4988.4911889.8785.346715.82769.525632.533605.74497.215595.354609.3630.61,008.1844.51,084.31,086.7302.5288.7352.71,714.61,007.8622374.9
Uitgestelde opbrengsten niet-vlottend 15.525.981.658.947.415.815.712.620.218.91.311.1194.2193.90000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 31.863.849.736.451.760.3199.7310.7353.9446.9480.9484.2457.2360.7360.7346.6402.8479.161400.964161.758301.648255.735268.468294.371266.8353.7207.4178239.4226.81.710.848.6252.7199.1112.9124.7
Overige niet-vlottende verplichtingen 375.3371.3586.3664581.1496552.8424.2398.8431.5355.7314.6253.769.469.7295.5303.8296.482261.51208.859224.56183.048171.003184.6216.7215.1253.3254.7308.8310.227.429.412.2147.8171.7366.6733.6
Totaal niet-vlottende verplichtingen 968.41,036.11,383.31,564.31,491.81,369.61,809.71,704.71,723.91,822.11,579.71,680.31,429.41,612.71,612.71,553.11,596.41,560.9891,378.2941,140.1421,158.7411,044.523936.6861,074.3251,092.81,199.41,468.81,277.21,632.51,623.7331.6328.9413.52,115.11,378.61,101.51,233.2
Totaal passiva 1,475.51,528.91,846.81,882.41,814.31,720.62,140.81,998.82,010.52,153.31,974.42,078.81,8451,911.91,911.91,847.31,894.11,814.2511,657.7351,451.8041,451.5051,339.1791,378.3681,472.3081,4451,5521,792.91,840.92,294.82,279.9696.4817.9791.62,936.72,563.51,980.62,124.7
Eigen vermogen:
Preferente aandelen 0000667.3667.3667.3667.3667.3667.3667.3667.3667.3667.3667.3667.3667.300000000000000000000
Gewone aandelen 0.30.30.30.33.63.63.63.63.63.63.63.61.21.21.21.21.21.1891.2071.2421.341.2621.2581.2571.3000000000000
Ingehouden winsten 461.1482.3401.1282.9239.4220.3-17.9-198.5-155.64.9-39.675.4-19.4-197.7-197.7-109.8-74.1839.188786.268864.821639.463629.773656.408591.03538.7512.5316282.8263.8209.1222.8307.6428.6426.6000
Overige gereserveerde algehele resultaten -145.5-143.9-191.3-219.4-220.7-206.2-179-221.9-197-148.6-8-42-23.3-3.2-3.2-5151.5-43.1-62.7576.14922.39711.713-4.67167.25281.2-158.9-130.7-163.4-315.8-242.7-218.3-197.2-183.1-302.9000
Overige totale aandeelhoudersvermogen 619.9619.9619.4618.7-49.6-49.6-49.6-49.6-49.6-49.6-2229.331.4-38.9-38.9-38.9-27.569.50270.86847.271-3.466-27.992-30.667-31.304-31.8224.9199.6184.5326.3232203148.7140170.9287.4310.6285.8
Totaal eigen vermogen van aandeelhouders 935.8958.6829.5682.5640635.4424.4200.9268.7477.6601.3733.6657.2428.7428.7468.8618.4866.779795.593989.483659.734614.756622.328628.235589.4578.5384.9303.9274.3198.4207.5259.1385.5294.6287.4310.6285.8
Totaal eigen vermogen 1,261.51,306.81,158.41,006.9980.1989766.7444.4526.9813.9992.81,091.7993498.4498.4542.1708.9990.475920.6421,147.723759.523735.602775.479784.513790.2690.2385.2304.1277.4200.8207.5259.1385.5308.5534.6310.6285.8
Totaal passiva en aandeelhoudersvermogen 2,7372,835.73,005.22,889.32,794.42,709.62,907.52,443.22,537.42,967.22,967.23,170.52,8382,410.32,410.32,389.42,6032,804.7262,578.3772,599.5272,211.0282,074.7812,153.8472,256.8212,235.22,242.22,178.12,1452,572.22,480.7903.91,0771,177.13,245.23,098.12,291.22,410.5