WD-40 Company

NASDAQ:WDFC

290.11 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 46.69948.14337.84385.96156.46227.23348.86637.08250.89153.89657.80353.43469.71956.39375.92845.95641.98361.07845.20637.1229.43341.97111.0914.382.6199.78.610.96.711.113.510.97.19.221.622.421.61818.815.1
Kortetermijnbeleggingen 0000000.21980.16657.63348.60345.0537.5161.0330.53300000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 46.69948.14337.84385.96156.46227.23349.085117.248108.524102.499102.85390.9570.75256.92675.92845.95641.98361.07845.20637.1229.43341.97111.0914.382.6199.78.610.96.711.113.510.97.19.221.622.421.61818.815.1
Nettovorderingen 117.49398.03989.9389.55880.67272.86469.02564.25964.6858.7563.61856.87855.49158.32447.84648.06149.27148.68145.87644.48740.64341.92543.75433.83329.54428.62722.621.417.114.91415.713.316.414.414.314.613.612.4
Voorraad 79.08886.522104.10155.75241.26440.68236.53635.3431.79332.05234.98932.43329.79717.60413.03715.85818.2813.20815.2698.0416.3224.7096.14310.535783.75.56.24.96.25.54.74.33.73.13.62.82.52.5
Overige vlottende activa 12.16115.82117.7669.9486.7567.21613.3378.0074.4756.1278.3396.214.5264.5748.856.5335.9067.6044.8588.5985.0014.2696.6757.1197.1995.810.53.43.316.510.912.813.917.11.51.21.21.31.30.8
Totaal vlottende activa 255.441248.525249.64241.219185.154147.995167.983224.854209.472205.252215.654192.143166.117143.156150.408120.777119.485130.571115.54101.19284.22995.26167.66355.86746.36252.149.842.437.649.645.543.241.443.943.241.140.736.736.230.8
Niet-vlottende activa:
Materiële vaste activa, netto 74.59474.61173.53678.96968.92745.07636.35729.43911.54511.3769.7028.5359.0638.4829.32210.9311.3098.8118.948.3557.0816.5236.1966.3854.8353.93.64.23.93.53.23.12.932.932.32.12.12
Goodwill 96.98595.50595.1895.86995.73195.34795.62195.59795.64996.40995.49995.23695.31895.45295.23595.42495.90996.40996.11895,85895,832,00092,267000000000000000000
Immateriële activa 6.2224.675.5887.2448.63310.65213.51316.24419.19122.96123.67124.29227.68529.93331.27232.20539.99242.54342.722138.742139.26127.967129.37586.64228.25430.812.513.414.400000000000
Goodwill en immateriële activa 103.207100.175100.768103.113104.364105.999109.134111.841114.84119.37119.17119.528123.003125.385126.507127.629135.901138.952138.84138.742139.26127.967129.37586.64228.25430.812.513.414.400000000000
Langetermijnbeleggingen 000000000-5.824-5.855-5.672-5.551-4.849-4.747-4.369-4.045-4,145-4,331-2,94600000000000000000000
Belastingvorderingen 0.9931.2010.6790.8580.4640.4030.5110.4950.6215.8245.8555.6725.5514.8494.7474.3694.0454,1454,3312,94600.6425.4029.5480000000000000000
Overige niet-vlottende activa 14.80413.4549.6726.0443.7283.1893.0743.0883.193.2593.1542.8582.6872.7542.8713.2813.9784.8525.1555.9646.2056.2656.4098.1945.4995.255.45.86.56.212.59.20.90.70.40.30.30.20.1
Totaal niet-vlottende activa 193.598189.441184.655188.984177.483154.667149.076144.863130.196134.005132.026130.921134.753136.621138.7141.84151.188152.615152.935153.061152.546141.397147.382110.76938.58839.921.12324.1109.415.612.13.93.63.42.62.42.32.1
Totaal activa 449.039437.966434.295430.203362.637302.662317.059369.717339.668339.257347.68323.064300.87279.777289.108262.617270.673283.186268.475254.253236.775236.658215.045166.63684.959270.965.461.759.654.958.853.547.846.844.543.339.138.532.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 35.9630.82632.85233.49921.67618.72719.11520.89818.6917.12818.03119.69321.24219.37318.94312.52923.53223.3611.7515.61613.83614.77215.87114.73511.33511.36.96.75.84.74.34.24.33.83.700000
Kortlopende schulden 8.65912.94439.1730.80.821.20523.6200098634510.71510.71410.71410.71410.71410.71410.71410100.2994.654.4972.50.80.80.70.70.60.300000000
Belastingschulden 7.3464.7620.0510.3171.2130.8442.1251.3063.3812.2871.5291.1460.8071.4131.5162.571.09972,0402,48402,7801,4952,879,0000000000000000000
Uitgestelde opbrengsten 4.2884.5524.9883.69632.11929.7455.00329.5740030.76331.59619.7621.4131.5162.5719.22719.68619.16317.88616.08617.12117.59712.4980000000000000000
Overige kortlopende verplichtingen 11.2874.9320.90414.125-17.368-14.65816.945-17.25317.93311.429-14.443-17.483-18.6081.9438.1887.302-23.532-120.263-2,049.71-2,497.132-11.223-2,791.992-1,509.376-2,879,011.856-5.92-4.7-0.7-2.8-1.21-11-0.4-0.70.26.76.66.15.94.3
Totaal kortlopende verplichtingen 103.588.842110.8285.93660.11674.5985.90375.42358.69447.972151.911117.64589.44554.2359.8248.21454.56353.85743.66746.742.53544.67335.26234.76221.24720.413.911.411.111.18.29.78.26.97.66.76.66.15.94.3
Langlopende verplichtingen:
Langetermijnschulden 85.977115.575113.138122.002119.61860.22162.8134122108000010.71521.42932.14342.85753.57164.28675859575.1339.53114.10.91.72.43.13.82.700000000
Uitgestelde opbrengsten niet-vlottend 5.90400000000000000000000-642000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 9.06610.30510.52810.40111.29111.68811.0518.94916.36523.14524.25324.01124.00721.81317.41416.86816.87616.00513.61111.3634.85364200000000000.10.10.20.10.20.20.20
Overige niet-vlottende verplichtingen 14.06613.06611.18511.48211.29910.6881.8171.9582.2142.2822.1011.9011.9562.5084.6353.1593.0992.1951.8951.8381.9691.7811.6051.521.381.31.1110.90.80.700.10-0.100-0.10
Totaal niet-vlottende verplichtingen 115.013138.946134.851143.885142.20882.59775.667154.907140.579133.42726.35425.91225.96324.32132.76441.45652.11861.05769.07777.48781.82286.78196.60576.65310.91115.422.73.444.63.40.10.20.20.10.20.20.10
Totaal passiva 218.513227.788245.671229.821202.324157.187161.57230.33199.273181.399178.265143.557115.40878.55192.58489.67106.681114.914112.744124.187124.357131.454131.867111.41532.15835.815.914.114.515.112.813.18.37.17.86.76.86.364.3
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000000000000
Gewone aandelen 0.020.020.020.020.020.020.020.020.020.020.0190.0190.0190.0190.0180.0180.0180.0180.0170.0170.0170.0170.0160.0160.0158.900000000000000
Ingehouden winsten 499.931477.488456.076430.735398.731374.06351.266315.764289.642260.683237.596214.034193.265176.008157.805138.367128.627118.26103.33589.98376.15264.06848.69940.11742.50746.444.342.440.438.336.441.439.73835.735.534.130.830.927.1
Overige gereserveerde algehele resultaten -29.268-31.206-36.209-26.03-28.208-32.482-27.636-28.075-27.298-8.7221.103-5.043-2.727-0.358-4.334-2.1012.7667.5045.0832.1021.6590.5120.063-0.643-0.3420.3-3.8-3.7-3.2-3-2.7-2.3-2.3-1.9-2-1.5-1.2-1-0.9-0.7
Overige totale aandeelhoudersvermogen -240.157-236.124-231.263-204.343-210.23-196.123-168.161-148.322-121.969-94.123-69.303-29.503-5.09525.55743.03536.66332.58142.4947.29637.96434.5940.60734.415.73110.6120.614.512.6109.28.46.67.84.65.33.83.632.52.2
Totaal eigen vermogen van aandeelhouders 230.526210.178188.624200.382160.313145.475155.489139.387140.395157.858169.415179.507185.462201.226196.524172.947163.992168.272155.731130.066112.418105.20483.17855.22152.79256.25551.347.244.542.145.745.240.73937.836.532.832.528.6
Totaal eigen vermogen 230.526210.178188.624200.382160.313145.475155.489139.387140.395157.858169.415179.507185.462201.226196.524172.947163.992168.272155.731130.066112.418105.20483.17855.22152.79256.25551.347.244.542.145.745.240.73937.836.532.832.528.6
Totaal passiva en aandeelhoudersvermogen 449.039437.966434.295430.203362.637302.662317.059369.717339.668339.257347.68323.064300.87279.777289.108262.617270.673283.186268.475254.253236.775236.658215.045166.63684.959270.965.461.759.654.958.853.547.846.844.543.339.138.532.9