Xylem Inc.XYL

時価総額
$341.7億
PER
水ソリューション・装置の最大手。ポンプ、プロセス水・廃水処理、レンタル資産とデジタル水管理を展開。2023年に総額約69億ドルで同業を買収、2024年に総額約637百万ドルでデジタル水管理企業を過半数取得。米国57%・欧州20%・新興市場15%で展開。
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------330549401254427355609890
Depreciation--99958887109117117117118111193258
Amortization--51474564125144140134127125243304
Deferred income taxes81-14-29-914-33-47-77-3110-64-79-36
Share-based compensation1322271815182130292633376056
Restructuring and asset impairment charges2174226630252263757297662
U.K. pension settlement expense-----------140--
Loss (gain) from sale of businesses---119--10-1-21-1-46
Gain on remeasurement of previously held equity interest-------------152
Other, net----2-12-6-19-9-9-46-84--4
Payments for restructuring79352614162821303625113032
Contributions to post-retirement benefit plans-46433525273341192729192525
Changes in receivables61-247372467910323-1097019287107
Changes in inventories18-53949-2315-2797-475167147-4141
Changes in accounts payable-9-44172061505129-39811172264
Changes in accrued liabilities53-28183-111328-615101757-417
Changes in accrued and deferred taxes56-172025-3-13104--1320-957-10914
Net changes in other assets and liabilities14-142-33-10-21-1121-4-22-22-67459
Net Cash — Operating activities4493963244164644976865868398245385968371,263
Capital expenditures126112126119117124170237226183208208271321
Proceeds from Sale of Property, Plant, and Equipment11562-11-----14
Acquisitions of businesses, net of cash acquired3094181-181,7823343318---476193
Proceeds from sale of businesses---301-1622--10110511
Cash received from investments------1011112003816
Cash paid for investments------11117200-11111
Cash paid for equity investments------------576
Cash received from interest rate swaps------------38-
Cash received from cross-currency swaps--------91214282829
Settlement of currency forward agreement-----------10--
Other, net-1-1-2-1-2-19-6-5--22-1-41
Net Cash — Investing activities-423-147-199-86-132-1,886-181-643-231-169-183-191-628-482
Short-term debt repaid-----8028252254640---268
Long-term debt issued, net1,198----1,540-1-985--2781
Long-term debt repaid, net-----608-120--60052716017
Repurchase of common stock-137313417942559406168522520
Proceeds from Stock Options Exercised1242226212416713201986267
Dividends paid19758794102112130152174188203217299350
Other, net---1-1----3-2-3-2-13-28
Net Cash — Financing activities172-74-100-147-2621,034-421-40-177473-855-790-157-615
Effect of exchange rate changes on cash------------2023-53
Net change in cash and cash equivalents--------------11
Net change in cash and cash equivalents---------1,151-526-40575102
Interest--------777799766967
Income Taxes Paid, Net64104658175785775107418391211219