Vulcan Materials Company

NYSE:VMC

268.86 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 949.2161.42351,197.068271.58940.037141.646258.986284.06141.273198.201275.478155.83947.54122.26510.19434.88855.23275.138271.45416.689170.728100.80255.27652.8180.6128.650.821.97.71415.71918.684.389.412586.199.6
Kortetermijnbeleggingen 000000000000004.11136.73400175.14179.214.974000000000000000000
Liquide middelen en kortetermijnbeleggingen 949.2161.42351,197.068271.58940.037141.646258.986284.06141.273198.201275.478155.83947.54126.37646.92834.88855.23450.278450.66421.663170.728100.80255.27652.8180.6128.650.821.97.71415.71918.684.389.412586.199.6
Nettovorderingen 889.71,045.3833.3556.297570.116540.778588.337474.496418.024373.842339.621296.98313.202317.798268.024356.977421.861391.46476.37281.613359.953332.126340.063381.867329.7221.3199.8185.5181.1182.1150.4151.4138.1152.9136.9149.3125.1122.4121.6
Voorraad 615.6579.3521.3448.585458.308429.33384.338345.616347.073321.804344.606335.022327.657319.845325.033364.311356.318243.537197.752177.184219.376239.586228.415199.044178.7143.7132.4128.6126.8112.5105107.9112.611396.993.682.7103.8109.9
Overige vlottende activa 70.4115.99574.2776.39664.63365.7840.75935.43483.5573.53177.49264.71186.92215.072125.674259.77541.15240.322458.22349.2547.24860.67258.31763.530.826.329.132.334.533.218.915.410.815.218.62.92.71.3
Totaal vlottende activa 2,524.91,9021,691.12,277.1651,379.3261,079.1451,180.1011,119.8571,084.591920.469955.959984.972861.409772.106744.293893.891,157.229731.3791,164.7221,417.9591,050.242789.688729.952694.504624.7576.4487.1394362.1336.8302.6293.9285.1295.3333.3350.9335.7315332.4
Niet-vlottende activa:
Materiële vaste activa, netto 6,729.46,623.96,238.24,849.1274,724.2274,237.3073,918.9313,261.4383,156.293,071.633,312.0173,159.1853,418.1793,632.9143,874.6714,155.8123,620.0941,869.1141,603.9671,536.4931,892.6481,976.0532,000.031,848.6341,639.7895.8808.4764.5698701.8657.8663.7675.4720.7602.5549.9525.4491.1477.6
Goodwill 3,531.73,689.63,696.73,172.1123,167.0613,165.3963,122.3213,094.8243,094.8243,094.8243,081.5213,086.7163,086.7163,097.0163,093.9793,083.0133,789.091620.189000000000000000000000
Immateriële activa 1,460.71,702.11,7491,123.5441,091.4751,095.3781,063.63769.052766.579758.243697.578692.532697.502691.693682.643673.79200617.083600.181579.817575.791588.562562.044454.800000000000000
Goodwill en immateriële activa 4,992.45,391.75,445.74,295.6564,258.5364,260.7744,185.9513,863.8763,861.4033,853.0673,779.0993,779.2483,784.2183,788.7093,776.6223,756.8053,789.091620.189617.083600.181579.817575.791588.562562.044454.800000000000000
Langetermijnbeleggingen 31.331.834.134.30160.70944.61535.11539.22640.55841.6542.38742.08129.00437.38633.28327.99800000000000000000000000
Belastingvorderingen 1,028.91,072.81,005.9706.05633.039567.283464.081702.854681.09639.72640.42340.69643.03253.79457.96771.20500000000000000000000000
Overige niet-vlottende activa -761.2-787.6-732.4-475.394-407.044-356.994-279.288-533.101-522.306135.36133.721120.41791.78152.98247.1198.459369.956203.543203.112110.5114.153106.68979.68123.392120.3186.4153.7162.1155.7142.5118.2115.4112.610266.756.867.428.69.3
Totaal niet-vlottende activa 12,020.812,332.611,991.59,409.749,269.4678,752.9858,324.797,334.2937,217.0417,141.4337,307.6477,141.6277,366.2147,565.7857,789.6628,020.2797,779.1412,692.8462,424.1622,247.1742,586.6182,658.5332,668.2722,534.072,214.81,082.2962.1926.6853.7844.3776779.1788822.7669.2606.7592.8519.7486.9
Totaal activa 14,545.714,234.613,682.611,686.90510,648.7939,832.139,504.8918,454.158,301.6328,061.9028,263.6068,126.5998,227.6238,337.8918,533.9558,914.1698,936.373,424.2253,588.8843,665.1333,636.863,448.2213,398.2243,228.5742,839.51,658.61,449.21,320.61,215.81,181.11,078.61,0731,073.11,1181,002.5957.6928.5834.7819.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 390.4454.5365.5273.08265.159216.473197.335145.042175.729145.148143.807113.337103.931102.315121.324147.104219.548154.215142.22195.312129.361122.053153.619181.317136.1107.4112.598.598.3102.489.500071.10000
Kortlopende schulden 0.5100.55.2515.4350.025133.023391.3830.1380.13150.1370.17150.602134.762290.746621.8931,394.1852,126.681199.53272.0673.226278.72178.93961.143277.087107.97.89.18.310.647.51.713513.2111.9114.130.23.34
Belastingschulden 000000000000000000000000000000000000000
Uitgestelde opbrengsten 145.3159.8167.1174.045179.88186.397191.476198.388207.66213.968219.74373.5830172.49500174.252127.962126.85698.8860000000000000000000
Overige kortlopende verplichtingen 261.4241.8231.585.32390.49966.65712.67811.351-30.04-57.375-65.12398.889165.8690.116113.478121.7777.70611.9837.87229.265134.8796.717129.733113.827142.696.386.187.968.561.449.60122.2121.958.8113.9135.1128.6103.8
Totaal kortlopende verplichtingen 797.6956.6769.31,047.883535.563602.55792.872354.919353.479451.878298.597436.411404.562565.672856.6951,663.0662,528.187493.687579.014426.689542.952297.709344.495572.231386.6211.5207.7194.7177.4211.3140.8135135.4233.8140.9118165.3131.9107.8
Langlopende verplichtingen:
Langetermijnschulden 3,877.34,423.64,517.33,171.8223,172.3572,779.3572,463.4821,982.7511,980.3341,855.4472,522.2432,526.4012,680.6772,427.5162,116.122,153.5881,529.828322.064323.392604.522607.654857.757906.299685.361698.976.581.985.590.397.4102107.3111.144.755.26271.172.275.5
Uitgestelde opbrengsten niet-vlottend 145.3159.8167.1174.045179.88186.397191.476198.388207.66213.968224.74373.5830446.8760000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,028.91,072.81,005.9706.05633.039567.283464.081702.853681.096691.137701.075657.367732.528849.448888.272949.036671.518287.905275.065348.613338.913345.181318.545268.797250.898.588.78785.982.574.2069.685.273.7102.6104.8108.395.5
Overige niet-vlottende verplichtingen 1,188.7669.6655.3559.775506.097493.64624.087642.763624.875672.773578.842671.775618.23983.399620.846625.334446.827319.458284.872271.334252.518157.93129.467127.063179.5118.479.469.765.658.358.6130.674.174.169.240.715.615.714
Totaal niet-vlottende verplichtingen 6,240.26,325.86,345.64,611.6924,491.3734,026.6773,743.1263,526.7553,493.9653,433.3254,026.9033,929.1264,031.4443,807.2393,625.2383,727.9582,648.173929.427883.3291,224.4691,199.0851,360.8681,354.3111,081.2211,129.2293.4250242.2241.8238.2234.8237.9254.8204198.1205.3191.5196.2185
Totaal passiva 7,037.87,282.47,114.95,659.5755,026.9364,629.2274,535.9983,881.6743,847.4443,885.2034,325.54,365.5374,436.0064,372.9114,481.9335,391.0245,176.361,423.1141,462.3431,651.1581,742.0371,658.5771,698.8061,653.4521,515.8504.9457.7436.9419.2449.5375.6372.9390.2437.8339323.3356.8328.1292.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 132.1132.9132.7132.516132.371131.762132.324132.339133.172131.907130.2129.721129.245128.57125.912110.27108.234139.705139.705139.705139.705139.705139.705139.705139.700000000000000
Ingehouden winsten 4,6154,111.43,748.53,274.1072,895.8712,444.872,180.4481,771.5181,618.5071,471.8451,295.8341,276.6491,334.4761,512.8631,752.241,862.9132,083.7182,972.7382,637.4272,366.9152,185.8392,090.3192,015.8091,884.2691,749.21,588.11,449.91,304.41,174.21,059.81,009.9968919.1912.2838.3752.5671590.7530.2
Overige gereserveerde algehele resultaten -143.8-154.7-152.7-181.305-197.738-172.215-149.466-139.376-120.069-161.714-99.631-225.517-216.844-177.339-194.358-185.282-40.217-4.953-2.213-1.3092.6492.438-8.0830000000000000000
Overige totale aandeelhoudersvermogen 2,880.12,8392,816.52,802.0122,791.3532,798.4862,805.5872,807.9952,822.5782,734.6612,611.7032,580.2092,544.742,500.8862,368.2281,734.8351,607.865-1,106.379-648.378-491.336-525.357-535.476-543.157-552.478-565.2-434.4-458.4-420.7-377.6-328.2-306.9-267.9-236.2-232-174.8-118.2-99.3-84.1-3.7
Totaal eigen vermogen van aandeelhouders 7,483.46,928.66,5456,027.335,621.8575,202.9034,968.8934,572.4764,454.1884,176.6993,938.1063,761.0623,791.6173,964.984,052.0223,522.7363,759.62,001.1112,126.5412,013.9751,802.8361,696.9861,604.2741,471.4961,323.71,153.7991.5883.7796.6731.6703700.1682.9680.2663.5634.3571.7506.6526.5
Totaal eigen vermogen 7,507.96,952.26,567.76,027.335,621.8575,202.9034,968.8934,572.4764,454.1884,176.6993,938.1063,761.0623,791.6173,964.984,052.0223,523.1453,760.012,001.1112,126.5412,013.9751,894.8231,789.6441,699.4181,575.1221,323.71,153.7991.5883.7796.6731.6703700.1682.9680.2663.5634.3571.7506.6526.5
Totaal passiva en aandeelhoudersvermogen 14,545.714,234.613,682.611,686.90510,648.7939,832.139,504.8918,454.158,301.6328,061.9028,263.6068,126.5998,227.6238,337.8918,533.9558,914.1698,936.373,424.2253,588.8843,665.1333,636.863,448.2213,398.2243,228.5742,839.51,658.61,449.21,320.61,215.81,181.11,078.61,0731,073.11,1181,002.5957.6928.5834.7819.3