PACCAR INCPCAR

時価総額
$540.8億
PER
商用トラック・部品・金融サービスの大手。ディーゼルエンジン、部品供給、リース・ファイナンスを展開。2024年に電池製造JVへ30%出資、同年までに207.6百万ドルを拠出。米国4州、欧州3カ国、豪州・ブラジル・カナダ・メキシコなどで展開。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Net Income--------2,1952,3881,2981,8523,0124,6014,162
Depreciation, Depletion and Amortization-----292302321338322250270332415398
Depreciation And Amortization Equipment On Operating Leases And Other---------755799633458509519
Provision for losses----15121822171529163176
Deferred taxes4622415297-98-5531-1741871-0-213-208-304-79
Other, net--28-34-37-40-47-30-44-35-27-20-20-14-46-26
Pension contributions648519126816318671893618525392741
Trade and other receivables42408-7511571-1056220724272-122413442431-157
Wholesale receivables on new trucks1551783233273-402272512520-871-919351,266479
Inventories-971876240190-64-64150333-2548610273351-42
Other assets, net48-281218772125-41-13121736513413032127149
Accounts payable and accrued expenses221585-304241252-163-9334529-28-54693840376279
Residual value guarantees and deferred revenues80232204262123242156166275-180-128-82-44-37-1
Other liabilities, net421119119629426018438290459146100339755-270
Net Cash Provided by Operating Activities1,5511,5931,5192,376----2,9922,8602,9872,1873,0274,1904,641
Originations of retail loans and finance leases1,7892,7323,2362,9933,1143,0652,8263,1173,8594,0823,9174,5715,0596,3786,667
Collections on retail loans and finance leases2,0392,1212,4042,4692,8482,6822,5102,7142,9143,3893,2524,1133,8884,3304,840
Net increase in wholesale receivables on equipment-8186-6-125-9-5148-53-121629512
Purchases of marketable debt securities7581,6141,0499901,1231,3301,0329706168518429038889672,069
Proceeds from Sale and Maturity of Marketable Securities5241,1427688899981,0361,3057809327165987277188041,103
Payments for property, plant and equipment168341515511298287375423458574550559525695839
Acquisitions of equipment for operating leases7151,3071,2881,3621,2391,4391,5901,4231,4951,3971,0881,074866568907
Proceeds from asset disposals-----449434471654638602904688615696
Contributions to joint venture--------------208
Other, net-10-3---3-0-2-1-1713-27-17-74
Net Cash Used in Investing Activities-467-2,419-2,588-2,151-----1,931-2,207-1,876-1,363-2,033-2,871-4,487
Payments of cash dividends2522178102836246818295588041,1391,2407081,0051,5192,289
Purchases of treasury stock-338162-4320271-354110422245
Proceeds from stock compensation transactions-------3919615438365252
Proceeds from (Repayments of) Short-Term Debt-5481,643-366-1,039349251-323352626557-832253701,721700
Proceeds from term debt7071,1662,2012,1341,6511,9931,9951,6702,3402,5042,1502,1013,1723,0853,891
Payments on term debt8901,3186685691,8831,5801,6251,8971,7551,7901,8992,3372,2662,2332,473
Net Cash (Used in) Provided by Financing Activities-960946210274----7183-1,808-8833051,102-123
Effect of exchange rate changes on cash and cash equivalents---------362-52-3670-151
Net (Decrease) Increase in Cash and Cash Equivalents---------739-635-1111,2632,491-121