Zimmer Biomet Holdings, Inc.

NYSE:ZBH

106.34 (USD) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 1,024291.2445.5-137.41,131.5-379.31,839.2301.648.9719759.2752.9760596.9717.4848.6773.2834.5732.5541.8346.3257.8149.8176150145
Afschrijvingen & Amortisatie 951.7926.4937.71,032.71,006.11,040.51,062.71,039.3723.5375.8358.5363.1359.9340.2337.4275.1230197.4185.7181.3103.325.323.423.12226
Uitgestelde Inkomstenbelasting -96.3-64.4-102.112-538.713.4-1,776-153.2-164-84.2-126.2-64.812.9-72.5-19.7263.90000007.800
Aandelen Gebaseerde Vergoedingen 99.81057673.884.365.553.757.346.449.448.55560.56274.969.90000000000
Verandering in Werkkapitaal -396.2-311.4-134.2-415.5-706.241-1,737.6-202.7-545.4-38.7-240.9-128.2-22.8-13.9-69.1-168.2-67.1-70.8-79.379.780.4-92.8-2.520.217.528
Vorderingen -51.9-184.7-15.1-349.1-521.1213.6-137.8-137.82.8-92.3-103.7-51.100000000002.6000
Voorraden -240.4-75.6-8.4-40.8-125.2-199.5-122.869.5-248.1-154.1-128.4-67.57.225.836.2-148.1-58-39.2-79.2-44.7-53-59.7-50.2-2.100
Crediteuren -55.310376.4-95.1-42155.9-163.133.6-186.8120.138.347.8000000000041.9000
Overig Werkkapitaal -48.6-154.1-187.169.5-17.9-129-1,313.9-168-113.387.6-47.1-57.4-30-39.7-105.3-20.1-9.1-31.6-0.1124.4133.4-33.13.222.317.528
Overige Niet-Contante Posten -1.4337.9276.3633608.8966.32,140.3589.9753.431.5164173.96.4280.876.610.784.479.639.359.4-35.229.91.15.3-9.50
Kasstroom uit Operationele Activiteiten 1,581.61,284.71,499.21,204.51,585.81,747.41,582.31,632.2862.81,052.8963.11,151.91,176.91,193.51,117.51,038.11,084.41,040.7878.2862.2494.8220.2171.8232.4180199
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -689.2-187.9-152-117.9-404.7-162.7-156-184.7-167.7-144.9-100-114.7-269.2-280.2-264.6-250-331.2-268.3-105.3-100.8-158.5-33.7-54.7-29-33-20
Netto Overnames -134.9-99.8-68.7-235.5-37.1-15.3-4-1,443-7,812.9-54.3-74.2-59-56.8-82.60-363-160.3-28.1-44.1-171.3-927.700000
Aankoop van Beleggingen -311.7-258.3-273.6-291.7-315.9-276.3-337-347-481.2-1,548.3-925.6-1,279-750-100.9-116.6308.100-1500000000
Verkoop/verval van Beleggingen 33.489.41.953.548.169.2286.2286.2802.91,282.2830.8878.5394.867.5054.90000000000
Overige Investeringsactiviteiten 323.5-72.6-11.2-22.2-19.7-31.5-300-348.2-4.1-13.5-17.956.8-330.70-674.209.4-11.7-116.2-16.5-20000
Kasstroom uit Investeringsactiviteiten -778.9-529.2-503.6-613.8-729.3-416.6-510.8-1,691.5-7,610.7-469.4-282.5-592.1-624.4-726.9-381.2-924.2-491.5-287-311.1-388.3-1,102.7-35.7-54.7-29-33-20
Financieringsactiviteiten:
Schuldaflossingen -48.8-1,738.7-2,654.8-1,750-1,465.3-2,978.9-1,840.9-2,050-3,239.9-2.3-97.5-50.1-40-8.500000000000
Uitgifte van Gewone Aandelen 101.178.1122.5129.8158.2107.91,153.71,92710,733.434.7474.8194.243.416.99.50149.841.376.76570.523.91.4000
Terugkoop van Gewone Aandelen -692.2-126.4-122.5-129.8-158.20-415.5-415.5-150-400.5-719-485.6-1,050-505.6-923.7-737-576.3-798.8-4.10000000
Uitgekeerde Dividenden -200.9-201.2-200.1-198.5-196.7-195.2-193.6-188.4-157.1-145.5-132.4-94.4-510.4000000000-290000
Overige Financieringsactiviteiten 77.31,144.41,548.91,526.7882.11,871.985.8-16.3-46.6-48.86.8-0.61,065.2-0.9660.6393.52726.8-557.2-467594.3-212.8189.5-203.4-147-179
Kasstroom uit Financieringsactiviteiten -763.5-843.8-1,306-421.8-779.9-1,302.2-1,210.5-743.27,139.8-562.4-467.3-436.5-455.8-489.6-262.1-343.5-399.5-730.7-484.6-402664.8-188.9-99.1-203.4-147-179
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.9-14.5-13.215.3-1.5-10.229.3-22.7-22.6-18.3-17-7.32.70.24.9-21.74.89.5-3.95.24.91.70.4000
Netto Kasstroomverandering 40.1-102.8-323.6184.275.118.4-109.7-825.2369.32.7196.311699.4-22.8479.1-251.3198.232.578.677.161.8-2.718.4000
Kaspositie aan het Einde van de Periode 415.8375.7478.5802.1617.9542.8524.4634.11,452.61,083.31,080.6884.3768.3668.9691.7212.6463.9265.7233.2154.677.515.718.400542.8