Watts Water Technologies, Inc.

NYSE:WTS

206.8 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 350.1310.8242218.9219.7204.1280.2338.4296.2301.1267.9271.8250.6329.2258.2165.6290.3342.97945.75865.913149.36110.97311.99715.2351310.113.904.36.216.9104.88.811.140.441.916.7
Kortetermijnbeleggingen 3.43.50000000002.14.146.502211.825026.6000000000000000000
Liquide middelen en kortetermijnbeleggingen 350.1310.8242218.9219.7204.1280.2338.4296.2301.1267.9273.9254.7333.2264.7165.6312.3354.80445.75892.513149.36110.97311.99715.2351310.113.904.36.216.9104.88.811.140.441.916.7
Nettovorderingen 259.8233.8220.9197.6219.8205.5216.1198186.4207.8212.9207.1207.1186.9181.3221.3235.7228.502177.364150.073136.064123.50495.49897.71894.3130.9121.3116.4118.879.368.163.948.840.228.523.71918.3
Voorraad 399.3375.6370.7263.6270.1286.8259.1239.4240291.6310.2290.7284.2265.6266.7339341.6316.416242.837203.044156.599133.415115.864108.951112.8194171.2182.1200.8153.1131.9116.399.9956451.837.235.2
Overige vlottende activa 51.830.427.929.425.324.928.282.286.473.866.144.34.611.826.611.610.410.0799.55510.2276.3982.46432.76527.33632.736.739.2112.331.282.384.3104.576.137.171.731.41.4
Totaal vlottende activa 1,061950.6861.5709.5734.9721.3783.6858809874.3857.1816814.6857796.8795.5956.7952.382528.415497.679480.474308.796256.124249.24252.8371.7345.6410.8355.1320.9301.2294.7229.6181.1175.3118.999.571.6
Niet-vlottende activa:
Materiële vaste activa, netto 248.2196.8200.7212.3200201.9198.5189.7184.4203.3219.9223.6226.7197.5206.5237.4223.7206.16164.999150.689145.711134.376128.606125.81130.2161.5152.7148168.4136.2134.3105.490.380.359.252.944.838.7
Goodwill 693592.4600.7602.4581.1544.8550.5532.7489639514.8508.2490.4428425.1453.2385.8356.09296.636226.178184.901163.2260000000000000000
Immateriële activa 216.1113.7128.6141.8151.4165.2185.2202.5192.8210.1132.4146.6154.6152.6152.9174.600000163.226124.54498.17995.3119110.979.5149.189.58758.530.122.4103.62.52
Goodwill en immateriële activa 909.1706.1729.3744.2732.5710735.7735.2681.8849.1647.2654.8645580.6578627.8385.8356.09296.636226.178184.901163.226124.54498.17995.3119110.979.5149.189.58758.530.122.4103.62.52
Langetermijnbeleggingen 35.81.401.26.55.64.600000008.317-26.739-27.54-27.463-23.552-27.7080000000000000000
Belastingvorderingen 23.617.83.54.42.71.61.61.53.74.73.84.81.10.9347.538.126.73927.5427.46323.55227.7080000000000000000
Overige niet-vlottende activa 64.553.859.267.851.812.411.57.813.916.612.29.810.110.18.8-38.6108146.218110.9249.70227.55728.11411.1968.7968.813.612.912.717.412.313.210.43.232.31.41.43
Totaal niet-vlottende activa 1,248.4980.3994.11,028.7988.2932.4952.9938.8883.81,073.7883.1893882.9789.1796.3882.4772.6708.468572.555426.569358.169325.716264.346232.785234.3294.1276.5240.2334.9238234.5174.3123.6105.771.557.948.743.7
Totaal activa 2,309.41,930.91,855.61,738.21,723.11,653.71,736.51,796.81,692.81,9481,740.21,7091,697.51,646.11,593.11,677.91,729.31,660.851,100.97924.248838.643634.512520.47482.025487.1665.8622.1651690558.9535.7469353.2286.8246.8176.8148.2115.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 131.8134.3143.4110.1123.3127.2123.8101.1101.7120.8145.6131.6126.5113.9102.3115.2108120.95491.05373.60674.06864.70442.87339.56946.956.748.94640.724.721.220.712.68.47000
Kortlopende schulden 11.512.110.310.71053022.5139.11.11.92.277.120.750.94.51.37.52213.6354.98113.25182.2113.6931.2415.71.72.42.911.81.12.40.90.95.71.90.80.30.7
Belastingschulden 21.916.713.37.98.87.43.64.13.93.74.62.10.20000000000000000000000000
Uitgestelde opbrengsten -11.5-12.1-10.3-10.7132.3136.9123.5116.7116.7156.9122.5116.6116.1158.2151.8145.164.3143.0395.56794.28373.71800000000000000000
Overige kortlopende verplichtingen 274244.4265.1202.758.754.657.668.675.566.156.642.7395.8229.7116.127.85223.06824.30311.30284.71666.96371.28858.575.969.68760.648.554.933.331.328.321.122.414.912
Totaal kortlopende verplichtingen 405.8378.7408.5312.8419.3348.7327.4425.5295345.7326.9368283.6278.6307294.5289.7299.358223.323197.173172.339231.631113.529112.098111.1134.3120.9135.9113.174.378.554.944.842.43023.215.212.7
Langlopende verplichtingen:
Langetermijnschulden 298.3147.6141.9198.2204.2323.4474.6511.3576.2577.8305.5307.5397.4378304409.8432.2441.697293.35180.562179.06156.276123.212105.377124115.4125.9160.2132.897.5101.595.665.365.465.223.722.722.9
Uitgestelde opbrengsten niet-vlottend 00000-204.700000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 13.526.240.551.138.638.555.284.471.877.445.945.258.240.14343.242.934.58524.80319.57815.97820.79215.69215.46313.618.916.713.817.616.413.41.766.96.86.25.13.5
Overige niet-vlottende verplichtingen 78.577.891.5106.383259.750.341.544.934.759.848.838.547.957.870.645.652.68632.18726.63225.58819.74311.4149.7711.211.313.910.414.19.17.201.41.31.10.80.20.4
Totaal niet-vlottende verplichtingen 390.3251.6273.9355.6325.8416.9580.1637.2692.9689.9411.2401.5494.1466404.8523.6520.7528.968350.34226.772220.62796.811150.318130.61148.8145.6156.5184.4164.5123122.197.372.773.673.130.72826.8
Totaal passiva 796.1630.3682.4668.4745.1765.6907.51,062.7987.91,035.6738.1769.5777.7744.6711.8818.1810.4828.326573.663423.945392.966328.442263.847242.708259.9279.9277.4320.3277.6197.3200.6152.2117.5116103.153.943.239.5
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000000000
Gewone aandelen 3.33.33.43.43.43.43.43.43.43.53.53.53.63.73.73.63.83.8533.2553.2393.2072.7052.6522.6472.60000000000000
Ingehouden winsten 979.1795.3665.9560.1513.9437.5372.9348.5317.7500.6513.1498.1515.1492.9453.8469.1465.4429.555368.264324.145286.396259.893233.761213.627196.7337.6293.2249.4307.5268.7235.1211.5178.8150.2124.8103.786.272.9
Overige gereserveerde algehele resultaten -143.4-149.9-127.3-100-130.8-121.1-99.1-153-128.2-89.112-10.8-19-0.330.10.268.725.353.67325.23213.805-11.794-24.281-19.728-15.2-146.5-128.5-112.4-111.6-94.1-84-69.2-54.7-44.4-35-27.6-22-18
Overige totale aandeelhoudersvermogen 674.3651.9631.2606.3591.5568.3551.8535.2512497.4473.5448.7420.1405.2393.7386.9377.6367.795144.284140.172132.98345.13237.18235.99635.4182.9168.9182.6210.1187184172.6111.66553.946.840.820.9
Totaal eigen vermogen van aandeelhouders 1,513.31,300.61,173.21,069.8978888.1829734.1704.9912.41,002.1939.5919.8901.5881.3859.8915.5826.553519.476492.788436.391295.936249.314232.542219.5374333.6319.6406361.6335.1314.9235.7170.8143.7122.910575.8
Totaal eigen vermogen 1,513.31,300.61,173.21,069.8978888.1829734.1704.9912.41,002.1939.5919.8901.5881.3859.8918.9832.524527.307500.303445.677306.07256.623239.317227.2385.9344.7330.7412.4361.6335.1316.8235.7170.8143.7122.910575.8
Totaal passiva en aandeelhoudersvermogen 2,309.41,930.91,855.61,738.21,723.11,653.71,736.51,796.81,692.81,9481,740.21,7091,697.51,646.11,593.11,677.91,729.31,660.851,100.97924.248838.643634.512520.47482.025487.1665.8622.1651690558.9535.7469353.2286.8246.8176.8148.2115.3