Wolverine World Wide, Inc.

NYSE:WWW

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 179131.5161.7347.4180.6143.1481369.8194.1223.8214.2171.411140.012150.4160.43989.50276.087124.66385.25872.17255.35627.07835.828.4341.46.25.88.527.12.93.72.42.22.53.22.42.318.413.5
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 179131.5161.7347.4180.6143.1481369.8194.1223.8214.2171.411140.012150.4160.43989.50276.087124.66385.25872.17255.35627.07835.828.4341.46.25.88.527.12.93.72.42.22.53.22.42.318.413.5
Nettovorderingen 230.8241.7319.6268.3331.2361.2271.3263.3298.9312.7398.1353.615219.963196.457163.755167.949179.934152.608157.119151.174146.879156.285152.33161.957170.7152.1138.112683.470.762.451.56761.862.859.957.548.656.4
Voorraad 373.6745.2365.5243.1348.2317.6276.7348.7466.6414428.2466.23234.757208.655158.065196.777165.852184.259161.347182.924164.904168.998177.041144.192168167143.8117.488.47970.664.377.971.673.472.371.568.496.2
Overige vlottende activa 81.17956.945.4107.145.845.349.654.291.777.583.66937.31420.87121.27919.61419.61423.76817.02418.47212.9697.9926.68410.5039.215.716.212.71615.912.829.58.45.82.23.52.1717
Totaal vlottende activa 1,025.11,265.3903.7904.2967.1867.71,074.31,031.41,013.81,042.21,1181,074.925632.046576.383503.538473.842445.641485.313420.748430.855386.636363.345374.802325.086349.3341303.9264.6214.9168.5149.5147.7155.5141.7141.6138.1133.4142.4183.1
Niet-vlottende activa:
Materiële vaste activa, netto 214.5310.9267.2267.1301.8130.9136.7146.1131.6136.8151.9149.72878.48974.39773.95285.75785.41787.95293.20294.9396.00797.27498.994102.665116.3111.190.36346.935.331.630.533.531.632.231.532.334.537
Goodwill 427.1485556.6824.71,043.41,028.91,034.31,102.81,114.51,129.31,135.81,139.72538.89439.01439.97232.3139.57338.77638.77635,55200151514.316.219.918.800000000000
Immateriële activa 209341.4792.7455.3682.3676.4681.5762.3782.7802.6817.2833.28117.37516.46416.2269.2578.9368.50643.97170.57242.1333.96914.95714.32816.219.918.811.53.1000000001.72.5
Goodwill en immateriële activa 636.17591,274.7824.71,043.41,028.91,034.31,102.81,114.51,129.31,135.81,139.72556.26955.47856.19841.56748.50947.28243.97170.57242.1333.96914.95714.32816.219.918.811.53.1000000001.72.5
Langetermijnbeleggingen 1.86.1-1.8-3.2-2.9-3.1-4.3-2.3-3.7-2.8-3.4-0.946-98.618-93.08-91.292-64.88100-3.736-6,113-6,528-2,992-12.9-12.9-9.4-12.8-5.8-4.2-5.90000000000
Belastingvorderingen 116.424.51.83.22.93.14.32.33.72.83.40.94642.34937.60235.09423.3143.8773.7363.7366,1136,5282,99212.912.99.412.85.84.22.82.2000000000
Overige niet-vlottende activa 68.9126.9140.8141.4167.7155.6153.7151.4184.7196.2216.5250.056138.667132.044130.443105.18154.93446.80968.65943.21454.10837.40654.92552.48952.649.536.722.521.824.224.625.819.116.515.414.110.47.96.2
Totaal niet-vlottende activa 1,037.71,227.41,682.71,233.21,512.91,315.41,324.71,400.31,430.81,462.31,504.21,539.509217.156206.441204.395190.938192.737185.779205.832208.716192.245168.649168.876169.482185.1180.5145.89768.761.756.256.352.648.147.645.642.744.145.7
Totaal activa 2,062.82,492.72,586.42,137.42,4802,183.12,3992,431.72,444.62,504.52,622.22,614.434849.202782.824707.933664.78638.378671.092626.58639.571578.881531.994543.678494.568534.4521.5449.7361.6283.6230.2205.7204208.1189.8189.2183.7176.1186.5228.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 206272.2222.1185202.1340.6324.3293.3336.4294276288.58457.09964.0842.26245.3251.55147.4241.10750.52126.32829.54228.35720.90723.414.924.341.215.218.312.714.415.817.21313000
Kortlopende schulden 349.7474.1273.344406.6132.53840.416.946.753.330.750.5150.5170.53859.50510.73110.7310.97211.73516.0215.0315.125.2124.511.17.71.12.41.76.716.418.4225.22.511.612.4
Belastingschulden 0000000000017.09210.9159.33223.4086.1256.1256,4354,2314,7361,5133,5756,3761,5081.30200000000000000
Uitgestelde opbrengsten 289.524.5000-178.7-138.3-162-142.5-136.7-144.6-140.891.71782.23484.125-3.54732.10932.66226.65723.82421.79315.4122.9272.9274.0320000000000-13000
Overige kortlopende verplichtingen 24.2339.5264.2177178.7178.7138.3162142.5136.7144.6140.80.331.3145.92690.05128.24130.10325.30124.17121.62520.19328.11724.95816.56825.332.927.5202318.921.627.525.318.927.728.330.133.7
Totaal kortlopende verplichtingen 869.41,110.3759.6406787.4473.1362.3333.7353.3340.7329.3319.334149.661148.145132.851191.329122.632120.915104.037110.25185.76680.17774.52154.00448.551.364.969.837.64338.352.461.744.533.932.930.841.746.1
Langlopende verplichtingen:
Langetermijnschulden 738.2876.6850842.8573.1438744.6780.3803.1854.11,096.71,219.251,219.250.5171.0771.077010.74121.43932.16943.90357.88575.81887.878134.8157.189.841.230.643.544.942.731.634.336.338.234.340.863.1
Uitgestelde opbrengsten niet-vlottend 78.435.3-118.9-35.5-99-63.4-84.2-161-178.6-217-253.9-240.523-1,459.7730000000000000000000-1.3000000
Uitgestelde belastingverplichtingen niet-vlottend 26.935.3118.935.599107.984.2161178.6217253.9240.523240.523000009.65814.29113.0680.0812.9049.43112.85.84.22.82.21.91.51.31.3000002.3
Overige niet-vlottende verplichtingen 49.996.2332.4315.6341.1235.9336.9343.6318.5371.7354.8432.153124.32490.26591.97242.45236.96734.87729.12524.0035.73624.6126.2836.0176.278.48.599.38.27.54.43.4333.222.4
Totaal niet-vlottende verplichtingen 893.41,043.41,182.41,158.4914.2718.41,081.51,123.91,121.61,225.81,451.51,651.403124.32490.78293.04943.52936.96745.61860.22270.46362.70782.57795.005103.326153.8169.9102.452.541.854.754.651.53637.739.341.237.542.867.8
Totaal passiva 1,762.82,153.71,9421,564.41,701.61,191.51,443.81,457.61,474.91,566.51,780.81,970.737273.985238.927225.9234.858159.599166.533164.259180.714148.473162.754169.526157.33202.3221.2167.3122.379.497.792.9103.997.782.273.274.168.384.5113.9
Eigen vermogen:
Preferente aandelen 00000305.4134.88.344.267.900036.46524.276058.647116.63326.559057.38314.71127.60400019.1000000000000
Gewone aandelen 113112.2111.6110.4108.3107.6106.4105.6103.9102.3100.866.51565.01963.97662.76461.65661.08560.46859.21267.3546.66345.8445.41444.78544.444.443.843.328.418.8000000000
Ingehouden winsten 834.8907.21,128.21,093.31,263.31,169.7992.21,015.1950.8852.2743.1946.766889.765789.684706.439666.027591.706519.815452.672437.406382.603339.475298.755260.158255.3227.8190.8153.5123.6101.98776.688.686.493.28780.173.686.6
Overige gereserveerde algehele resultaten -142.2-132.9-98.9-130.6-102.1-88.3-75.2-81.1-56.1-49.5-9.2-87.542-71.029-41.123-42.806-42.83422.2683.9233.52514.4924.402-27.355-8.758-8.453-6.6-13.2-14-8.8-5.6-4.4-61.7-59-55.8-55.9-51.6-49.4-46.6-43.5-41.5
Overige totale aandeelhoudersvermogen -527-547.5-496.5-500.1-491.1-502.8-203-73.8-73.1-34.96.7-283.123-308.538-305.105-268.64-254.927-254.927-196.28-79.647-60.957-60.957-3.57411.13740.7483941.342.751.357.816.287.582.577.677.174.47274.371.969.8
Totaal eigen vermogen van aandeelhouders 278.6339644.4573778.4991.6955.2974.1969.7938841.4642.616575.217543.897482.033429.922478.779504.559462.321458.291430.094369.097374.152337.238332.1300.3282.4239.3204.2132.5112.8100.1110.4107.6116109.6107.8102114.9
Totaal eigen vermogen 300357.4659.2584.6790.1997.2960.8981.7975.7942.5845.2643.921575.217543.897482.033429.922478.779504.559462.321458.857430.408369.24374.152337.238332.1300.3282.4239.3204.2132.5112.8100.1110.4107.6116109.6107.8102114.9
Totaal passiva en aandeelhoudersvermogen 2,062.82,492.72,586.42,137.42,4802,183.12,3992,431.72,444.62,504.52,622.22,614.658849.202782.824707.933664.78638.378671.092626.58639.571578.881531.994543.678494.568534.4521.5449.7361.6283.6230.2205.7204208.1189.8189.2183.7176.1186.5228.8