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TechnipFMC PLC

FTI
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71.660USD
+2.740+3.98%
Handelsschluss 07-31 16:00ETKurse um 15 Minuten verzögert
28.15BMarktkapitalisierung
27.02KGV TTM

FTI Bilanz

Hier können Sie die jährlichen oder vierteljährlichen Kontostände von TechnipFMC PLC einsehen, um die finanzielle Gesundheit zu bewerten, Fundamentaldaten zu analysieren und wichtige Verhältnisse wie Liquidität, Hebel und Eigenkapitalrendite zu berechnen.
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
4.40%991.80M
-19.56%960.80M
-10.79%1.04B
1.60%876.60M
31.76%950.00M
68.60%1.19B
21.17%1.17B
10.05%862.80M
5.18%721.00M
29.62%708.50M
-11.29%962.10M
6.20%784.00M
-3.21%685.50M
-57.54%546.60M
-35.26%1.08B
-52.76%738.20M
-57.22%708.20M
-36.67%1.29B
-65.62%1.68B
-64.12%1.56B
-66.20%1.66B
-60.07%2.03B
-7.75%4.87B
-3.31%4.36B
5.99%4.90B
2.11%5.09B
-4.66%5.28B
-18.89%4.50B
-16.81%4.62B
-19.86%4.99B
-17.77%5.54B
-19.47%5.55B
-22.62%5.56B
-11.66%6.22B
--6.74B
--6.90B
--7.18B
--7.04B
- Barmittel und Barmitteläquivalente
4.40%991.80M
-19.04%960.80M
-10.87%1.03B
4.67%876.60M
34.14%950.00M
70.32%1.19B
21.65%1.16B
21.22%837.50M
21.02%708.20M
33.41%696.80M
-9.97%951.70M
-2.90%690.90M
-14.56%585.20M
-56.58%522.30M
-20.36%1.06B
-31.19%711.50M
-19.89%684.90M
59.80%1.20B
-72.39%1.33B
-75.64%1.03B
-82.22%854.90M
-84.94%752.80M
-7.37%4.81B
-5.78%4.24B
4.07%4.81B
0.69%5.00B
-6.31%5.19B
-18.89%4.50B
-16.81%4.62B
-20.18%4.97B
-17.77%5.54B
-19.47%5.55B
-22.62%5.56B
-11.66%6.22B
--6.74B
--6.90B
--7.18B
--7.04B
-Kurzfristige Anlagen
----
----
0.00%8.10M
----
----
-34.19%7.70M
-22.12%8.10M
-72.82%25.30M
-87.24%12.80M
-51.85%11.70M
-62.18%10.40M
248.69%93.10M
330.47%100.30M
-71.17%24.30M
-92.10%27.50M
-94.95%26.70M
-97.09%23.30M
-93.41%84.30M
437.04%348.00M
375.79%528.60M
802.48%800.50M
1309.58%1.28B
-29.33%64.80M
--111.10M
--88.70M
360.91%90.80M
--91.70M
----
----
--19.70M
--0.00
----
----
----
----
----
----
----
Forderungen
12.76%3.14B
6.42%2.75B
1.27%2.68B
1.66%2.85B
4.95%2.78B
1.26%2.59B
1.89%2.65B
-6.16%2.80B
-10.04%2.65B
-10.01%2.56B
8.36%2.60B
19.20%2.98B
14.45%2.95B
12.36%2.84B
1.47%2.40B
-4.76%2.50B
-4.73%2.58B
-2.80%2.53B
-48.55%2.36B
-42.32%2.63B
-40.33%2.70B
-42.47%2.60B
-1.00%4.59B
0.08%4.56B
-6.14%4.53B
0.14%4.52B
2.44%4.64B
10.47%4.55B
10.59%4.83B
-8.12%4.52B
6.13%4.53B
-19.23%4.12B
3.51%4.37B
9.99%4.91B
--4.27B
--5.10B
--4.22B
--4.47B
-Forderungen aus Lieferungen und Leistungen
13.76%1.49B
4.53%1.20B
-14.40%1.13B
10.15%1.41B
12.41%1.31B
6.28%1.14B
15.85%1.32B
-3.50%1.28B
-3.56%1.16B
-4.67%1.08B
17.75%1.14B
26.28%1.32B
9.87%1.21B
10.65%1.13B
5.99%966.50M
-7.10%1.05B
-13.72%1.10B
-2.45%1.02B
-60.18%911.90M
-46.95%1.13B
-42.85%1.27B
-52.63%1.05B
0.12%2.29B
-1.03%2.13B
-0.64%2.23B
-1.84%2.21B
-7.39%2.29B
3.40%2.15B
1.90%2.24B
-7.93%2.25B
66.38%2.47B
-23.68%2.08B
1.82%2.20B
0.44%2.44B
--1.48B
--2.72B
--2.16B
--2.43B
-Sonstige Forderungen
16.47%1.30B
2.71%1.10B
10.11%1.07B
-6.72%1.06B
-0.56%1.11B
0.52%1.07B
-4.20%967.70M
-5.30%1.14B
-11.68%1.12B
-13.00%1.06B
2.90%1.01B
17.65%1.20B
23.56%1.27B
24.21%1.22B
-8.44%981.60M
-6.48%1.02B
2.25%1.02B
-9.18%983.40M
-25.90%1.07B
-32.86%1.09B
-36.44%1.00B
-28.52%1.08B
-8.98%1.45B
2.92%1.63B
-7.10%1.58B
3.75%1.51B
15.02%1.59B
23.13%1.58B
20.15%1.70B
-0.68%1.46B
-21.28%1.38B
-2.35%1.29B
20.94%1.41B
41.79%1.47B
--1.76B
--1.32B
--1.17B
--1.04B
Inventar
3.95%1.38B
5.32%1.36B
5.99%1.27B
6.21%1.31B
8.28%1.33B
4.49%1.30B
0.32%1.19B
-0.61%1.23B
-1.04%1.23B
0.85%1.24B
6.18%1.19B
14.31%1.24B
11.08%1.24B
8.01%1.23B
0.83%1.12B
-4.32%1.08B
-6.54%1.12B
-8.60%1.14B
-24.51%1.11B
-27.33%1.13B
-27.50%1.20B
-23.46%1.25B
-11.26%1.47B
-5.29%1.56B
5.48%1.65B
10.57%1.63B
15.13%1.66B
19.02%1.65B
12.91%1.56B
0.69%1.47B
4.54%1.44B
-10.80%1.38B
-29.90%1.39B
-12.29%1.46B
--1.38B
--1.55B
--1.98B
--1.67B
Aktive Rechnungsabgrenzungsposten
-14.73%104.80M
3.03%108.80M
20.71%98.50M
21.41%124.20M
20.96%122.90M
-8.73%105.60M
-2.28%81.60M
3.86%102.30M
7.40%101.60M
20.02%115.70M
34.89%83.50M
21.91%98.50M
31.75%94.60M
29.57%96.40M
22.09%61.90M
4.66%80.80M
-23.21%71.80M
-22.01%74.40M
-54.61%50.70M
-40.84%77.20M
-26.38%93.50M
-13.35%95.40M
67.22%111.70M
34.67%130.50M
15.77%127.00M
24.69%110.10M
-26.83%66.80M
-23.40%96.90M
-27.92%109.70M
-37.24%88.30M
-32.97%91.30M
-4.24%126.50M
-4.34%152.20M
-12.77%140.70M
--136.20M
--132.10M
--159.10M
--161.30M
Sonstige kurzfristige Vermögenswerte
4.00%28.60M
-4.30%24.50M
-40.66%19.70M
-19.47%30.60M
-17.91%27.50M
-16.34%25.60M
21.61%33.20M
-22.45%38.00M
26.42%33.50M
0.66%30.60M
15.68%27.30M
64.43%49.00M
-5.36%26.50M
11.76%30.40M
-11.94%23.60M
-10.51%29.80M
-34.88%28.00M
-28.23%27.20M
-45.19%26.80M
-50.74%33.30M
-39.69%43.00M
-67.55%37.90M
-57.07%48.90M
-5.19%67.60M
-19.25%71.30M
31.98%116.80M
48.11%113.90M
-64.81%71.30M
-56.93%88.30M
-73.33%88.50M
-79.85%76.90M
-38.53%202.60M
-35.43%205.00M
6.01%331.80M
--381.70M
--329.60M
--317.50M
--313.00M
Summe der kurzfristigen Vermögenswerte
4.89%5.90B
0.05%5.53B
1.42%5.55B
10.63%5.74B
15.13%5.62B
15.86%5.53B
5.24%5.47B
-1.98%5.19B
-6.82%4.88B
-6.50%4.77B
4.14%5.20B
11.27%5.30B
10.72%5.24B
-2.62%5.10B
-6.60%4.99B
-14.98%4.76B
-19.54%4.73B
-16.35%5.24B
-53.33%5.34B
-49.27%5.60B
-48.75%5.88B
-47.06%6.26B
-3.72%11.44B
0.37%11.03B
1.57%11.48B
5.14%11.83B
0.89%11.89B
-4.93%10.99B
-4.54%11.30B
-14.59%11.25B
-9.22%11.78B
-18.19%11.56B
-15.00%11.84B
-4.09%13.17B
--12.98B
--14.13B
--13.93B
--13.73B
Langfristige Vermögenswerte
Nettoanlagevermögen
-2.62%3.04B
-1.35%3.09B
6.18%3.14B
-0.60%3.10B
4.38%3.13B
3.24%3.14B
-4.77%2.95B
1.82%3.12B
-6.73%2.99B
-5.99%3.04B
-3.31%3.10B
0.51%3.06B
-1.20%3.21B
-5.02%3.23B
-4.44%3.21B
-9.56%3.04B
-6.95%3.25B
-2.58%3.40B
-14.05%3.36B
-5.15%3.37B
-5.77%3.49B
-5.06%3.49B
-3.66%3.91B
-11.21%3.55B
-14.08%3.71B
-17.25%3.68B
24.38%4.05B
8.88%4.00B
16.62%4.31B
13.99%4.45B
-15.80%3.26B
-7.08%3.67B
-4.38%3.70B
-1.89%3.90B
--3.87B
--3.95B
--3.87B
--3.98B
-Anlagevermögen
4.57%6.59B
8.55%6.64B
15.61%6.68B
9.11%6.62B
13.01%6.30B
9.20%6.12B
3.20%5.78B
6.45%6.07B
-5.84%5.58B
-3.60%5.60B
2.47%5.60B
7.23%5.70B
5.74%5.92B
-1.68%5.81B
-1.75%5.46B
-7.61%5.31B
-5.30%5.60B
0.27%5.91B
-11.93%5.56B
-3.85%5.75B
-3.72%5.92B
-2.33%5.89B
-0.45%6.31B
-1.13%5.98B
-4.17%6.14B
-8.44%6.03B
19.05%6.34B
5.39%6.05B
13.23%6.41B
10.50%6.59B
-8.44%5.33B
-3.65%5.74B
-1.00%5.66B
3.88%5.96B
--5.82B
--5.96B
--5.72B
--5.74B
-Abgegrenzte Abschreibungen
11.64%3.55B
18.97%3.54B
25.47%3.54B
19.35%3.52B
23.02%3.18B
16.27%2.98B
13.12%2.82B
11.81%2.95B
-4.78%2.58B
-0.61%2.56B
10.68%2.50B
16.25%2.64B
15.32%2.71B
2.84%2.58B
2.34%2.26B
-4.87%2.27B
-2.93%2.35B
4.43%2.51B
-8.50%2.20B
-1.96%2.39B
-0.61%2.42B
1.94%2.40B
5.24%2.41B
18.50%2.43B
16.19%2.44B
9.84%2.35B
10.65%2.29B
-0.81%2.05B
6.84%2.10B
3.92%2.14B
6.19%2.07B
3.08%2.07B
6.05%1.96B
16.90%2.06B
--1.95B
--2.01B
--1.85B
--1.76B
Goodwill und andere immaterielle Vermögenswerte
-22.89%381.10M
-17.53%402.80M
-16.25%425.70M
-11.92%477.30M
-11.66%494.20M
-15.78%488.40M
-15.51%508.30M
-16.64%541.90M
-16.99%559.40M
-16.55%579.90M
-15.98%601.60M
-11.45%650.10M
-11.49%673.90M
-11.86%694.90M
-12.01%716.00M
-6.64%734.20M
-5.97%761.40M
-5.32%788.40M
-76.71%813.70M
-77.47%786.40M
-76.85%809.70M
-76.28%832.70M
-47.74%3.49B
-59.79%3.49B
-59.95%3.50B
-59.93%3.51B
-23.90%6.68B
-15.09%8.68B
-14.91%8.73B
-15.06%8.76B
-14.41%8.78B
-0.60%10.23B
-2.41%10.26B
-2.00%10.31B
--10.26B
--10.29B
--10.52B
--10.52B
Sonstige langfristige Vermögenswerte
21.15%640.90M
15.22%595.70M
14.34%592.30M
18.95%527.80M
31.49%529.00M
27.28%517.00M
14.42%518.00M
95.72%443.70M
81.30%402.30M
103.20%406.20M
127.49%452.70M
17.83%226.70M
2.97%221.90M
-5.71%199.90M
-2.78%199.00M
-4.80%192.40M
4.92%215.50M
-5.61%212.00M
-54.86%204.70M
-56.40%202.10M
-58.69%205.40M
-55.33%224.60M
-17.99%453.50M
-26.14%463.50M
-29.81%497.20M
-32.68%502.80M
1.21%553.00M
-17.38%627.50M
-14.07%708.40M
-4.07%746.90M
-30.32%546.40M
-19.37%759.50M
-9.97%824.40M
-25.46%778.60M
--784.10M
--941.90M
--915.70M
--1.04B
Summe der langfristigen Vermögenswerte
0.26%4.47B
2.51%4.56B
3.89%4.57B
-0.47%4.51B
2.30%4.46B
2.93%4.44B
-1.34%4.40B
7.13%4.53B
-0.74%4.36B
-3.52%4.32B
0.13%4.46B
-1.65%4.23B
-3.55%4.39B
-7.52%4.48B
-4.77%4.46B
-7.66%4.30B
-6.01%4.55B
-1.27%4.84B
-43.28%4.68B
-40.89%4.66B
-40.29%4.84B
-39.46%4.90B
-29.10%8.25B
-42.86%7.88B
-42.90%8.11B
-43.68%8.10B
-10.54%11.63B
-8.68%13.79B
-6.62%14.21B
-6.36%14.38B
-14.94%13.00B
-2.56%15.10B
-2.42%15.22B
-3.32%15.35B
--15.29B
--15.49B
--15.59B
--15.88B
Summe der Vermögenswerte
2.84%10.37B
1.15%10.09B
2.52%10.12B
5.46%10.25B
9.08%10.08B
9.72%9.97B
2.20%9.87B
2.06%9.72B
-4.05%9.24B
-5.11%9.09B
2.25%9.66B
5.14%9.52B
3.72%9.63B
-4.97%9.58B
-5.75%9.44B
-11.65%9.06B
-13.43%9.29B
-9.73%10.08B
-49.12%10.02B
-45.78%10.25B
-45.25%10.73B
-43.97%11.17B
-16.27%19.69B
-23.68%18.91B
-23.20%19.59B
-22.25%19.93B
-5.11%23.52B
-7.05%24.78B
-5.71%25.51B
-10.16%25.63B
-12.31%24.78B
-10.02%26.66B
-8.35%27.06B
-3.67%28.53B
--28.26B
--29.63B
--29.52B
--29.62B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Fällige Dividenden
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--58.40M
--0.00
----
----
----
----
----
----
----
-Weitere Verbindlichkeiten
-28.48%208.90M
-20.15%227.90M
-20.47%201.70M
6.49%241.10M
2.67%292.10M
-22.06%285.40M
-44.68%253.60M
-36.08%226.40M
-22.10%284.50M
110.82%366.20M
119.44%458.40M
78.35%354.20M
62.53%365.20M
-27.93%173.70M
-10.61%208.90M
-23.88%198.60M
-14.07%224.70M
-52.83%241.00M
-55.84%233.70M
-51.49%260.90M
-45.92%261.50M
-22.51%510.90M
-10.82%529.20M
0.37%537.80M
-17.58%483.50M
39.77%659.30M
26.82%593.40M
-14.95%535.80M
-22.30%586.60M
-59.89%471.70M
-59.26%467.90M
-56.64%630.00M
-47.14%755.00M
-8.46%1.18B
--1.15B
--1.45B
--1.43B
--1.28B
Rückstellungen
3.14%462.90M
15.71%450.70M
25.75%553.30M
9.75%502.00M
13.88%448.80M
10.37%389.50M
-5.94%440.00M
14.49%457.40M
12.83%394.10M
-1.81%352.90M
16.43%467.80M
5.02%399.50M
-2.78%349.30M
-6.21%359.40M
-15.50%401.80M
-20.82%380.40M
-36.14%359.30M
-26.80%383.20M
-52.17%475.50M
-46.99%480.40M
-32.98%562.60M
-41.01%523.50M
-6.78%994.20M
-9.27%906.20M
-17.71%839.40M
-13.45%887.40M
-5.49%1.07B
10.05%998.80M
16.73%1.02B
-2.82%1.03B
21.62%1.13B
-9.85%907.60M
-9.76%873.90M
11.67%1.06B
--927.90M
--1.01B
--968.40M
--944.80M
Kurzfristige Rückstellungen
64.02%97.10M
91.26%109.40M
105.01%118.70M
-9.42%65.40M
-9.76%59.20M
-11.04%57.20M
-21.65%57.90M
11.25%72.20M
3.47%65.60M
-47.98%64.30M
-41.26%73.90M
-45.05%64.90M
-51.79%63.40M
-8.65%123.60M
-13.42%125.80M
-20.42%118.10M
-21.35%131.50M
4.40%135.30M
-44.96%145.30M
-44.46%148.40M
-37.54%167.20M
-40.06%129.60M
11.49%264.00M
-15.84%267.20M
-47.99%267.70M
-57.70%216.20M
-57.23%236.80M
22.68%317.50M
191.95%514.70M
--511.10M
--553.70M
--258.80M
--176.30M
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----
----
----
----
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
-51.23%146.70M
-86.67%68.80M
-80.78%65.30M
-83.23%64.60M
-23.03%300.80M
156.05%516.20M
107.57%339.80M
-6.23%385.20M
-9.60%390.80M
-47.88%201.60M
-60.95%163.70M
44.65%410.80M
32.73%432.30M
15.91%386.80M
50.63%419.20M
0.39%284.00M
9.15%325.70M
125.63%333.70M
-58.03%278.30M
-53.79%282.90M
-43.06%298.40M
-74.79%147.90M
33.85%663.10M
104.48%612.20M
549.44%524.10M
180.85%586.70M
635.01%495.40M
281.89%299.40M
2.80%80.70M
139.56%208.90M
-12.58%67.40M
-83.43%78.40M
-83.34%78.50M
-82.53%87.20M
--77.10M
--473.20M
--471.20M
--499.00M
-Kurzfristige Leasingverpflichtungen
6.08%31.40M
46.61%32.40M
-49.92%31.00M
-58.56%31.00M
-57.23%29.60M
-66.00%22.10M
525.25%61.90M
2037.14%74.80M
2371.43%69.20M
3511.11%65.00M
-80.92%9.90M
-93.28%3.50M
-94.58%2.80M
-96.53%1.80M
7314.29%51.90M
7342.86%52.10M
7285.71%51.70M
1.57%51.90M
-97.40%700.00K
--700.00K
--700.00K
--51.10M
--26.90M
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----
----
----
----
----
----
----
----
----
----
----
----
----
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Aufgeschobene Verbindlichkeiten
14.49%2.36B
12.51%2.16B
20.28%2.15B
57.88%2.39B
46.99%2.06B
43.96%1.92B
20.24%1.79B
22.26%1.51B
14.99%1.40B
13.56%1.33B
28.48%1.49B
74.08%1.24B
51.54%1.22B
40.48%1.17B
14.17%1.16B
-22.25%711.10M
-3.50%804.40M
-6.48%834.70M
-78.61%1.01B
-80.30%914.60M
-82.21%833.60M
-80.82%892.50M
3.29%4.74B
12.64%4.64B
7.60%4.69B
9.44%4.65B
12.24%4.59B
11.06%4.12B
9.60%4.35B
8.64%4.25B
23.26%4.09B
3.71%3.71B
-3.67%3.97B
-10.65%3.91B
--3.31B
--3.58B
--4.12B
--4.38B
Andere kurzfristige Verbindlichkeiten
10.50%2.66B
10.38%2.49B
17.69%2.47B
48.78%2.70B
37.66%2.41B
28.23%2.26B
3.96%2.10B
9.35%1.81B
6.32%1.75B
19.88%1.76B
35.34%2.02B
61.22%1.66B
41.96%1.65B
21.38%1.47B
7.13%1.49B
-22.37%1.03B
-8.06%1.16B
-21.00%1.21B
-74.83%1.39B
-75.70%1.32B
-76.78%1.26B
-72.27%1.53B
2.11%5.53B
9.50%5.45B
-0.35%5.44B
5.62%5.53B
6.04%5.42B
8.15%4.98B
11.24%5.46B
2.84%5.24B
14.43%5.11B
-8.58%4.60B
-11.68%4.90B
-10.15%5.09B
--4.46B
--5.03B
--5.55B
--5.67B
Summe der kurzfristigen Verbindlichkeiten
7.27%5.46B
-5.37%4.90B
1.03%4.91B
11.42%5.08B
14.32%5.09B
25.53%5.18B
8.87%4.86B
2.37%4.56B
0.34%4.45B
-3.03%4.13B
7.05%4.47B
19.18%4.46B
20.58%4.44B
15.86%4.26B
8.37%4.17B
1.30%3.74B
-2.14%3.68B
-5.08%3.67B
-63.02%3.85B
-63.15%3.69B
-62.00%3.76B
-62.83%3.87B
2.73%10.42B
6.61%10.02B
3.35%9.90B
8.16%10.41B
10.93%10.14B
7.97%9.40B
4.58%9.58B
-6.25%9.63B
-7.02%9.14B
-24.86%8.70B
-20.36%9.16B
-12.36%10.27B
--9.83B
--11.58B
--11.50B
--11.72B
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
----
----
-61.87%49.30M
28.89%81.20M
68.54%132.30M
58.74%130.80M
53.20%129.30M
15.81%63.00M
50.38%78.50M
50.92%82.40M
41.37%84.40M
-40.35%54.40M
-47.17%52.20M
-48.10%54.60M
-47.35%59.70M
-55.51%91.20M
-58.75%98.80M
-57.73%105.20M
-73.05%113.40M
-36.02%205.00M
-26.83%239.50M
-28.35%248.90M
14.16%420.80M
17.66%320.40M
15.61%327.30M
20.08%347.40M
23.32%368.60M
18.34%272.30M
16.79%283.10M
8.68%289.30M
5.99%298.90M
-34.65%230.10M
-30.24%242.40M
-24.38%266.20M
--282.00M
--352.10M
--347.50M
--352.00M
Langfristige Schulden und Leasingverbindlichkeiten
-17.16%898.70M
-4.28%1.03B
-15.72%1.07B
-21.73%1.06B
-16.09%1.08B
-30.46%1.07B
-19.73%1.27B
-16.40%1.36B
-25.05%1.29B
-12.09%1.54B
-8.90%1.58B
-10.86%1.62B
-10.07%1.73B
-27.83%1.75B
-26.92%1.74B
-30.02%1.82B
-32.41%1.92B
-21.35%2.43B
-43.46%2.37B
-32.87%2.60B
-39.24%2.84B
-30.84%3.09B
-9.93%4.20B
-10.98%3.87B
4.36%4.67B
-1.79%4.47B
13.03%4.66B
8.34%4.35B
18.18%4.48B
21.80%4.55B
9.17%4.12B
26.83%4.02B
14.73%3.79B
21.18%3.74B
--3.78B
--3.17B
--3.30B
--3.08B
-Langfristige Verbindlichkeiten
-32.58%286.60M
-6.52%384.00M
-34.84%395.70M
-38.38%404.40M
-34.28%425.10M
-53.70%410.80M
-33.52%607.30M
-29.69%656.30M
-35.30%646.80M
-11.78%887.20M
-8.59%913.50M
-17.75%933.50M
-16.74%999.70M
-41.64%1.01B
-42.15%999.30M
-42.50%1.13B
-44.93%1.20B
-29.21%1.72B
-47.94%1.73B
-39.24%1.97B
-45.26%2.18B
-36.34%2.43B
-16.64%3.32B
-10.00%3.25B
7.61%3.98B
2.66%3.82B
-3.50%3.98B
-10.16%3.61B
-2.28%3.70B
-0.29%3.73B
9.17%4.12B
26.83%4.02B
14.73%3.79B
21.18%3.74B
--3.78B
--3.17B
--3.30B
--3.08B
-Langfristige Leasingverbindlichkeiten
-7.23%612.10M
-2.89%642.50M
1.84%673.70M
-6.11%657.30M
2.10%659.80M
1.02%661.60M
-0.84%661.50M
1.63%700.10M
-10.93%646.20M
-12.51%654.90M
-9.32%667.10M
0.55%688.90M
1.10%725.50M
5.81%748.50M
13.74%735.70M
9.25%685.10M
9.06%717.60M
7.77%707.40M
-26.58%646.80M
0.14%627.10M
-4.36%658.00M
1.78%656.40M
29.24%881.00M
-15.77%626.20M
-11.20%688.00M
-21.85%644.90M
--681.70M
--743.40M
--774.80M
--825.20M
--0.00
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----
----
----
----
----
----
Mitarbeitervorteile
----
----
-61.87%49.30M
28.89%81.20M
68.54%132.30M
58.74%130.80M
53.20%129.30M
15.81%63.00M
50.38%78.50M
50.92%82.40M
41.37%84.40M
-40.35%54.40M
-47.17%52.20M
-48.10%54.60M
-47.35%59.70M
-55.51%91.20M
-58.75%98.80M
-57.73%105.20M
-73.05%113.40M
-36.02%205.00M
-26.83%239.50M
-28.35%248.90M
14.16%420.80M
17.66%320.40M
15.61%327.30M
20.08%347.40M
23.32%368.60M
18.34%272.30M
16.79%283.10M
8.68%289.30M
5.99%298.90M
-34.65%230.10M
-30.24%242.40M
-24.38%266.20M
--282.00M
--352.10M
--347.50M
--352.00M
Derivative-Verbindlichkeiten
97.82%181.80M
263.84%248.50M
-16.54%202.40M
14.63%194.30M
-42.24%91.90M
53.83%68.30M
877.82%242.50M
562.11%169.50M
594.76%159.10M
252.38%44.40M
588.89%24.80M
-44.23%25.60M
-56.79%22.90M
-92.53%12.60M
-76.77%3.60M
481.01%45.90M
289.71%53.00M
393.27%168.70M
-33.48%15.50M
-77.87%7.90M
-79.76%13.60M
-65.17%34.20M
-55.79%23.30M
-66.94%35.70M
-10.64%67.20M
85.28%98.20M
17.37%52.70M
33.00%108.00M
-14.84%75.20M
0.57%53.00M
-34.07%44.90M
36.01%81.20M
16.80%88.30M
-66.79%52.70M
--68.10M
--59.70M
--75.60M
--158.70M
Andere langfristige Verbindlichkeiten
-2.43%360.70M
2.90%354.40M
46.60%364.30M
94.17%382.70M
76.81%369.70M
65.82%344.40M
8.09%248.50M
-2.52%197.10M
5.45%209.10M
6.29%207.70M
16.23%229.90M
-14.50%202.20M
-18.19%198.30M
-23.55%195.40M
-24.42%197.80M
-26.39%236.50M
-31.51%242.40M
-30.64%255.60M
-63.55%261.70M
-48.98%321.30M
-46.72%353.90M
-51.77%368.50M
-10.11%717.90M
7.00%629.80M
-10.64%664.20M
7.56%764.00M
-4.85%798.60M
-8.47%588.60M
19.58%743.30M
-8.24%710.30M
10.55%839.30M
-22.04%643.10M
-17.67%621.60M
4.34%774.10M
--759.20M
--824.90M
--755.00M
--741.90M
Gesamt langfristige Verbindlichkeiten
-3.90%1.63B
8.29%1.81B
-3.64%1.80B
-3.49%1.79B
-4.80%1.69B
-12.68%1.67B
-7.44%1.87B
-5.03%1.86B
-13.76%1.78B
-7.84%1.91B
1.13%2.02B
-8.74%1.96B
-8.77%2.06B
-28.70%2.08B
-27.51%1.99B
-29.50%2.15B
-32.22%2.26B
-19.03%2.91B
-45.69%2.75B
-34.70%3.04B
-39.55%3.34B
-33.70%3.60B
-11.05%5.06B
-11.40%4.66B
-0.62%5.52B
-3.55%5.43B
8.30%5.69B
2.47%5.26B
13.54%5.56B
13.11%5.63B
4.60%5.26B
18.76%5.13B
9.29%4.89B
10.21%4.98B
--5.02B
--4.32B
--4.48B
--4.51B
Gesamtverbindlichkeiten
4.48%7.09B
-2.04%6.72B
-0.27%6.71B
7.10%6.88B
8.86%6.79B
13.42%6.85B
3.80%6.73B
0.11%6.42B
-4.13%6.23B
-4.60%6.04B
5.14%6.48B
9.00%6.41B
9.41%6.50B
-3.85%6.34B
-6.58%6.17B
-12.62%5.88B
-16.28%5.94B
-11.80%6.59B
-57.35%6.60B
-54.12%6.73B
-53.96%7.10B
-52.85%7.47B
-2.23%15.48B
0.15%14.68B
1.89%15.42B
3.84%15.84B
9.97%15.83B
5.93%14.66B
7.70%15.13B
0.07%15.26B
-3.09%14.40B
-13.00%13.84B
-12.05%14.05B
-6.08%15.25B
--14.85B
--15.90B
--15.98B
--16.23B
Eigenkapital der Aktionäre
Stammkapital
-4.32%8.30B
-4.88%8.41B
-6.54%8.48B
-6.21%8.55B
-5.09%8.67B
-3.98%8.84B
-3.15%9.08B
-3.20%9.11B
-3.37%9.14B
-3.09%9.21B
-1.89%9.37B
-1.82%9.42B
-1.81%9.46B
-1.28%9.50B
-0.62%9.55B
-0.13%9.59B
0.37%9.63B
0.20%9.62B
-10.10%9.61B
-10.06%9.60B
-10.01%9.60B
-9.80%9.60B
0.58%10.69B
0.57%10.68B
0.60%10.66B
0.26%10.65B
-0.17%10.63B
-0.78%10.62B
-1.80%10.60B
-2.51%10.62B
-2.75%10.65B
-2.70%10.70B
-1.79%10.79B
-0.75%10.89B
--10.95B
--11.00B
--10.99B
--10.97B
Gewinnrücklagen
10.33%-3.65B
12.90%-3.70B
12.72%-3.76B
13.34%-3.89B
13.82%-4.07B
12.88%-4.24B
13.68%-4.31B
10.60%-4.49B
7.26%-4.73B
2.73%-4.87B
0.34%-4.99B
-1.04%-5.03B
-2.67%-5.10B
-0.80%-5.01B
-2.17%-5.01B
-4.76%-4.97B
-5.30%-4.96B
-9.30%-4.97B
0.23%-4.90B
2.69%-4.75B
3.32%-4.71B
6.96%-4.55B
-214.45%-4.92B
-641.15%-4.88B
-549.82%-4.88B
-566.36%-4.89B
-245.78%-1.56B
-73.65%901.60M
-67.90%1.08B
-68.90%1.05B
-68.90%1.07B
-7.12%3.42B
-5.22%3.38B
-0.82%3.37B
--3.45B
--3.68B
--3.56B
--3.40B
Kapitalrücklagen
-4.31%7.91B
-4.88%8.01B
-6.60%8.08B
-6.27%8.14B
-5.14%8.26B
-4.04%8.42B
-3.19%8.65B
-3.24%8.69B
-3.43%8.71B
-3.12%8.77B
-1.87%8.94B
-1.79%8.98B
-1.74%9.02B
-1.22%9.06B
-0.56%9.11B
-0.09%9.14B
0.37%9.18B
0.19%9.17B
-10.56%9.16B
-10.51%9.15B
-10.47%9.14B
-10.25%9.15B
0.59%10.24B
0.57%10.23B
0.60%10.21B
0.27%10.20B
-0.14%10.18B
-0.76%10.17B
-1.77%10.15B
-2.49%10.17B
-2.73%10.20B
-2.68%10.25B
-1.78%10.34B
-0.75%10.43B
--10.48B
--10.53B
--10.52B
--10.51B
Abzüglich: Eigene Aktien
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
--0.00
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-1.93%-1.37B
11.52%-1.35B
18.85%-1.36B
2.62%-1.33B
6.34%-1.35B
-14.77%-1.52B
-34.69%-1.67B
-3.06%-1.36B
-14.13%-1.44B
-3.00%-1.33B
4.59%-1.24B
10.05%-1.32B
6.44%-1.26B
-8.67%-1.29B
0.25%-1.30B
-8.19%-1.47B
-4.02%-1.35B
15.38%-1.19B
19.57%-1.30B
15.59%-1.36B
21.32%-1.29B
17.68%-1.40B
-15.28%-1.62B
-11.78%-1.61B
-22.06%-1.65B
-28.62%-1.70B
-3.52%-1.41B
-9.56%-1.44B
-14.25%-1.35B
-33.38%-1.32B
-35.47%-1.36B
-38.92%-1.31B
-18.56%-1.18B
-0.15%-991.90M
---1.00B
---945.80M
---995.40M
---990.40M
Verpflichtung aus dem Aktienbesitzplan
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-50.00%2.40M
-52.00%2.40M
-26.42%3.90M
-25.93%4.00M
--4.80M
--5.00M
--5.30M
--5.40M
Nicht beherrschende Anteile
-83.78%7.30M
-82.79%7.90M
-6.95%41.50M
13.00%45.20M
20.97%45.00M
16.79%45.90M
25.99%44.60M
-4.31%40.00M
17.72%37.20M
-6.21%39.30M
-3.01%35.40M
52.55%41.80M
26.40%31.60M
73.86%41.90M
132.48%36.50M
22.87%27.40M
-41.72%25.00M
-41.79%24.10M
-73.88%15.70M
-50.00%22.30M
24.35%42.90M
45.77%41.40M
108.68%60.10M
-0.67%44.60M
-24.67%34.50M
-8.09%28.40M
-7.99%28.80M
130.26%44.90M
104.46%45.80M
85.03%30.90M
45.58%31.30M
533.33%19.50M
1278.95%22.40M
160.94%16.70M
--21.50M
---4.50M
---1.90M
--6.40M
Gesamtes Eigenkapital
-0.53%3.28B
8.14%3.37B
8.50%3.41B
2.25%3.37B
9.54%3.30B
2.36%3.12B
-1.06%3.14B
6.08%3.30B
-3.88%3.01B
-6.09%3.05B
-3.19%3.17B
-2.03%3.11B
-6.37%3.13B
-7.10%3.24B
-4.15%3.28B
-9.81%3.17B
-7.85%3.34B
-5.55%3.49B
-18.89%3.42B
-16.87%3.52B
-13.08%3.63B
-9.53%3.70B
-45.18%4.21B
-58.18%4.23B
-59.77%4.18B
-60.62%4.08B
-26.00%7.69B
-21.06%10.12B
-20.20%10.38B
-21.90%10.37B
-22.53%10.39B
-6.56%12.82B
-4.00%13.01B
-0.75%13.28B
--13.41B
--13.72B
--13.55B
--13.38B
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Häufig gestellte Fragen

Welche Kennzahlen der Bilanz sind bei der Analyse von FTI-Aktien am relevantesten?

Zu den wichtigsten Kennzahlen zählen Barmittel und kurzfristige Anlagen, Gesamtvermögen, Umlaufvermögen, Gesamtverbindlichkeiten, kurzfristige Verbindlichkeiten, langfristige Schulden, Eigenkapital, Gewinnrücklagen, Vorräte, Forderungen, Working Capital, Current Ratio, Quick Ratio, der Verschuldungsgrad (Debt-to-Equity Ratio) sowie die Eigenkapitalrendite (ROE). Anleger betrachten diese Kennzahlen in der Regel im Zusammenhang und verlassen sich nicht auf eine einzelne Kennzahl.

Was ist der Unterschied zwischen Vermögenswerten, Verbindlichkeiten und Eigenkapital der Aktionäre?

Vermögenswerte sind Ressourcen, die das Unternehmen besitzt oder kontrolliert, wie Bargeld, Forderungen, Vorräte, Investitionen und Immobilien. Verbindlichkeiten sind Verpflichtungen, die das Unternehmen hat, wie Verbindlichkeiten aus Lieferungen und Leistungen, Schulden, Leasingverträge und Steuern. Eigenkapital der Aktionäre ist der Restwert, nachdem die Verbindlichkeiten von den Vermögenswerten abgezogen wurden.

Was ist der Unterschied zwischen kurzfristigen und langfristigen Posten?

Kurzfristige Vermögenswerte und kurzfristige Verbindlichkeiten werden im Allgemeinen innerhalb eines Jahres oder eines Betriebszyklus umgewandelt, verwendet, bezahlt oder abgewickelt. Langfristige Vermögenswerte und langfristige Verbindlichkeiten sind langfristige Posten wie Immobilien, langfristige Investitionen, aktive latente Steuervorteile, langfristige Schulden und Leasingverpflichtungen.

Wie viel Barmittel verfügt TechnipFMC PLC?

Im jüngsten Quartalsbericht wies TechnipFMC PLC 991.80M an Barmitteln und Zahlungsmitteläquivalenten aus.

Wie hoch sind die gesamten Verbindlichkeiten von TechnipFMC PLC?

TechnipFMC PLC meldete 6.71B in Gesamtverbindlichkeiten zum letzten ausgewiesenen Quartal, einschließlich 4.91B in kurzfristigen Verbindlichkeiten und 1.80B in langfristigen Verbindlichkeiten.

Wie hoch sind die gesamten Vermögenswerte von TechnipFMC PLC?

Zum letzten ausgewiesenen Quartal hatte TechnipFMC PLC insgesamt 10.12B an Vermögenswerten, darunter 5.55B in kurzfristigen Vermögenswerten und 4.57B in langfristigen Vermögenswerten.

Wie hoch ist das Eigenkapital von TechnipFMC PLC?

TechnipFMC PLC meldete 3.41B an Gesamt-Eigenkapital zum letzten ausgewiesenen Quartal.
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