Walgreens Boots Alliance, Inc.

NASDAQ:WBA

8.81 (USD) • At close November 14, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -15,448-3,5284,0652,5124243,9625,0314,1014,1914,2792,0312,4502,1272,7142,0912,0062,156.72,041.31,750.61,559.51,360.21,175.71,019.2885.6776.9624.1537436371.7320.8281.9245.3220.6195174.6154.2
Afschrijvingen & Amortisatie 2,4592,2571,9901,9731,9272,0381,7701,6541,7181,7421,3161,2831,1661,0861,030975840675.9572.2482.1403.1346.1307.3269.2230.1210.1189164147.3131.5118.1104.792.184.370.463.8
Uitgestelde Inkomstenbelasting 917-2,371-366233-43100-322-434-442-3217714826513263260-60.523.2-104-70.872.258.922.946.921-9.4-183-7.25.7-12.622.819.223.317.1
Aandelen Gebaseerde Vergoedingen 1823853911551371191309111510911410499135848400000000000000000000
Verandering in Werkkapitaal -4867,444495428941-7401,9411,6181,682495210667731-4341677320.8-467.342.9-708-264-142.876.2-551.9-108.4-211.8-14634-115.4-103.6-58.2-28.6-32.2-129.9-69.2-96.9
Vorderingen -46472808-1,451163-789-391-153115-338-616-449394-243124600000000000000000000
Voorraden -31287-4331656314133198-6447198603211,083-592-307533-412.2-676.2-375.7-854-536-557.5-162.8-651.6-368.2-435.7-299-101-178.1-190.5-169.4-99.9-117.1-124.3-138.2-115.3
Crediteuren 1,4091,243244842-259541,3231,6901,572268-339182-4393841671100000000000000000000
Overig Werkkapitaal -1,4005,842-124872740-1,046678-17639-154305613-307408432223433208.9418.6146272414.723999.7259.8223.915313562.786.9111.271.384.9-5.66918.4
Overige Niet-Contante Posten 13,394-1,929-2,6762542,098115-285221583-92945-35143-381601371.180.3110.6108.481.253.648.269.452.112.21884.73.57.9-1.934.639.74039.1
Kasstroom uit Operationele Activiteiten 1,0182,2583,8995,5555,4845,5948,2657,2517,8475,6643,8934,3014,4313,6433,7444,1113,0392,356.72,439.61,371.21,652.71,491.51,473.8719.2971.7625.2571650411.3345355.4306.9337.9212.4239.1183.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,381-2,117-1,734-1,379-1,374-1,702-1,367-1,351-1,325-1,251-1,106-1,212-1,550-1,213-1,014-1,927-2,225-1,785.3-1,337.8-1,237.5-939.5-795.1-934.4-1,237-1,119.1-696.3-641-485-364.6-310.3-290-184.7-144.9-202.5-191.7-121.3
Netto Overnames -402-7,313-2,1894,096-718-741-4,793-88-2,412-4,018-744-834-536-188-779-405-0.001-1,085.8-485.415.500000000015.2000000
Aankoop van Beleggingen 03,62223332100000-49-59-66-4,0250-3,000-2,6000-6,396.9-12,282.4-10,7420000000-160-34.1-0.8-38.1-17.9-57.200
Verkoop/verval van Beleggingen 0-1,855-559-32100000505816003,5002,10506,82612,388.411,519.90000000047.430.5052.40000
Overige Investeringsactiviteiten 3,6614,5693,1851,355795136659596220992120100251-1241951-592.99946.333.710.116.492.9382.5102.581.750.81391517.90.17.79-30.3-4.9-5.80.1
Kasstroom uit Investeringsactiviteiten 1,878-3,094-1,0644,072-1,297-2,307-5,501-843-3,517-4,276-1,731-1,996-5,860-1,525-1,274-2,776-2,818-2,395.7-1,683.5-434-923.1-702.2-551.9-1,134.5-1,037.4-645.5-502-486-299.3-298.6-283.1-161.4-193.1-264.6-197.5-121.2
Financieringsactiviteiten:
Schuldaflossingen 889-2,7032,007-3,440-1,2082,5081,596-6,1635,2291,587-282-3003,000-17-576917456494.9213.9000-440.7440.7000-1-0.4-7.1-5.8-112.1-5.6-24.5-4.5-4.2
Uitgifte van Gewone Aandelen 0000000000000000210266.1319.1177.5145.10111.1126.179.2131.8105.13503.94.300000
Terugkoop van Gewone Aandelen -69-150-187-110-1,589-4,160-5,228-5,220-1,152-1,226-705-615-1,191-2,028-1,756-280-294-1,063.5-668.8-781.8-299.2-149.200000-18-19.7-5.9-3.4-15-4.5-4.5-1.5-1.7
Uitgekeerde Dividenden -1,260-1,659-1,659-1,617-1,747-1,643-1,739-1,625-1,563-1,384-1,199-1,040-787-647-541-446-376-310.2-262.9-214.5-176.9-152.4-147-140.9-134.6-128.6-123-116-105.2-92.9-81.2-71.4-62.2-54.8-47.4-40.6
Overige Financieringsactiviteiten -983,625-1,660-3,869-1032487617292108564459148250196117181-13.4-14.314.428.9-2.5-12.3-6.5-7.914.519.5-0.3000.10.10.10.100
Kasstroom uit Financieringsactiviteiten -538-887-1,499-9,036-4,647-3,047-5,295-12,9342,606-915-1,622-1,4961,170-2,442-2,677309-33-626.1-413-804.4-302.1-222.1-488.9419.4-63.317.72-100-125.3-102-86-198.4-72.2-83.7-53.4-46.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 420-47-66-1-91520-129-11900000000000000000-164-112-46.4-72.3-145.5-144.852.2-41.6-62.2
Netto Kasstroomverandering 2,362-1,7021,288524-461232-2,516-6,5066,807354540809-259-324-2071,644188-665.1343.1132.8427.5567.24334.1-129-2.671-100-125.3-102-86-198.4-72.2-83.7-53.4-46.5
Kaspositie aan het Einde van de Periode 3,2188562,5581,2707461,2077853,3019,8073,0002,6462,1061,2971,5561,8802,087443254.8919.9576.81,695.51,017.1449.916.912.8141.8144-91-103.1-24.15.6-53.9-0.2124.2172.1163.2