Rok finansowy |
1999 |
2000 |
2001 |
2002 |
2003 |
2004 |
2005 |
2006 |
2007 |
2008 |
2009 |
2010 |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
2024 |
Aktywa (mln) |
29 163.0 |
31 321.0 |
38 488.0 |
40 556.0 |
48 263.0 |
53 317.0 |
58 025.0 |
70 556.0 |
80 954.0 |
84 912.0 |
94 682.0 |
102 908.0 |
113 644.0 |
121 347.0 |
132 683.0 |
131 119.0 |
133 411.0 |
141 208.0 |
157 303.0 |
152 954.0 |
157 728.0 |
174 894.0 |
182 018.0 |
187 378.0 |
167 558.0 |
180 104.0 |
Aktywa trwałe (mln) |
15 963.0 |
15 871.0 |
20 015.0 |
21 290.0 |
25 268.0 |
25 997.0 |
26 631.0 |
47 581.0 |
51 009.0 |
50 535.0 |
55 141.0 |
55 601.0 |
59 328.0 |
75 231.0 |
76 276.0 |
71 808.0 |
73 201.0 |
76 176.0 |
114 215.0 |
106 921.0 |
112 454.0 |
123 657.0 |
121 039.0 |
132 084.0 |
114 063.0 |
124 211.0 |
Rzeczowe aktywa trwałe netto |
6 719.0 |
6 971.0 |
7 719.0 |
8 710.0 |
9 846.0 |
10 436.0 |
10 830.0 |
13 044.0 |
14 185.0 |
14 365.0 |
14 759.0 |
14 553.0 |
14 739.0 |
16 097.0 |
16 710.0 |
16 126.0 |
15 905.0 |
15 912.0 |
17 005.0 |
17 035.0 |
17 658.0 |
18 766.0 |
18 962.0 |
19 803.0 |
20 898.0 |
21 618.0 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
4 653.0 |
5 390.0 |
5 863.0 |
5 990.0 |
13 340.0 |
14 123.0 |
13 719.0 |
14 862.0 |
15 294.0 |
16 138.0 |
22 424.0 |
22 798.0 |
21 832.0 |
21 629.0 |
22 805.0 |
31 906.0 |
30 453.0 |
33 639.0 |
36 393.0 |
35 246.0 |
45 231.0 |
36 558.0 |
44 200.0 |
Wartości niematerialne i prawne |
7 571.0 |
7 256.0 |
9 077.0 |
9 246.0 |
11 539.0 |
11 842.0 |
12 175.0 |
15 348.0 |
14 640.0 |
13 976.0 |
16 323.0 |
16 716.0 |
18 138.0 |
28 752.0 |
27 947.0 |
27 222.0 |
25 764.0 |
26 876.0 |
53 228.0 |
47 611.0 |
47 643.0 |
53 402.0 |
46 392.0 |
48 325.0 |
34 175.0 |
37 618.0 |
Wartość firmy i wartości niematerialne i prawne |
7 571.0 |
7 256.0 |
9 077.0 |
9 246.0 |
11 539.0 |
11 842.0 |
12 175.0 |
28 688.0 |
28 763.0 |
27 695.0 |
31 185.0 |
32 010.0 |
34 276.0 |
51 176.0 |
50 745.0 |
49 054.0 |
47 393.0 |
49 681.0 |
85 134.0 |
78 064.0 |
81 282.0 |
89 795.0 |
81 638.0 |
93 556.0 |
70 733.0 |
81 818.0 |
Należności netto |
4 233.0 |
4 464.0 |
4 630.0 |
5 399.0 |
6 574.0 |
6 831.0 |
7 010.0 |
8 712.0 |
9 444.0 |
9 719.0 |
9 646.0 |
9 774.0 |
10 581.0 |
11 309.0 |
11 713.0 |
10 985.0 |
10 734.0 |
11 699.0 |
13 490.0 |
14 098.0 |
14 481.0 |
13 576.0 |
15 283.0 |
16 160.0 |
14 873.0 |
18 927.0 |
Inwestycje długoterminowe |
441.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
4.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
12 091.0 |
1 148.0 |
1 481.0 |
1 884.0 |
576.0 |
4 473.0 |
0.0 |
Aktywa obrotowe |
13 200.0 |
15 450.0 |
18 473.0 |
19 266.0 |
22 995.0 |
27 320.0 |
31 394.0 |
22 975.0 |
29 945.0 |
34 377.0 |
39 541.0 |
47 307.0 |
54 316.0 |
46 116.0 |
56 407.0 |
59 311.0 |
60 210.0 |
65 032.0 |
43 088.0 |
46 033.0 |
45 274.0 |
51 237.0 |
60 979.0 |
55 294.0 |
53 495.0 |
55 893.0 |
Środki pieniężne i Inwestycje |
3 879.0 |
5 744.0 |
7 972.0 |
7 475.0 |
9 523.0 |
12 884.0 |
16 138.0 |
4 084.0 |
9 315.0 |
12 809.0 |
19 425.0 |
27 658.0 |
32 261.0 |
21 089.0 |
29 206.0 |
33 089.0 |
38 376.0 |
41 907.0 |
18 296.0 |
19 687.0 |
19 287.0 |
25 185.0 |
31 608.0 |
23 519.0 |
22 927.0 |
24 522.0 |
Zapasy |
3 095.0 |
2 842.0 |
2 992.0 |
3 303.0 |
3 588.0 |
3 744.0 |
3 959.0 |
4 889.0 |
5 110.0 |
5 052.0 |
5 180.0 |
5 378.0 |
6 285.0 |
7 495.0 |
7 878.0 |
8 184.0 |
8 053.0 |
8 144.0 |
8 765.0 |
8 599.0 |
9 020.0 |
9 344.0 |
10 387.0 |
12 483.0 |
11 181.0 |
12 444.0 |
Inwestycje krótkoterminowe |
1 516.0 |
2 333.0 |
4 214.0 |
4 581.0 |
4 146.0 |
3 681.0 |
83.0 |
1.0 |
1 545.0 |
2 041.0 |
3 615.0 |
8 303.0 |
7 719.0 |
6 178.0 |
8 279.0 |
18 566.0 |
24 644.0 |
22 935.0 |
472.0 |
1 580.0 |
1 982.0 |
11 200.0 |
17 121.0 |
9 392.0 |
1 068.0 |
417.0 |
Środki pieniężne i inne aktywa pieniężne |
2 363.0 |
3 411.0 |
3 758.0 |
2 894.0 |
5 377.0 |
9 203.0 |
16 055.0 |
4 083.0 |
7 770.0 |
10 768.0 |
15 810.0 |
19 355.0 |
24 542.0 |
14 911.0 |
20 927.0 |
14 523.0 |
13 732.0 |
18 972.0 |
17 824.0 |
18 107.0 |
17 305.0 |
13 985.0 |
14 487.0 |
14 127.0 |
21 859.0 |
24 105.0 |
Należności krótkoterminowe |
2 003.0 |
2 083.0 |
2 838.0 |
3 621.0 |
4 966.0 |
5 227.0 |
4 315.0 |
5 691.0 |
6 909.0 |
7 503.0 |
5 541.0 |
5 623.0 |
5 725.0 |
5 831.0 |
6 266.0 |
7 633.0 |
6 668.0 |
6 918.0 |
7 310.0 |
7 537.0 |
8 544.0 |
9 505.0 |
11 055.0 |
11 703.0 |
9 632.0 |
10 311.0 |
Dług krótkoterminowy |
1 806.0 |
1 479.0 |
565.0 |
2 117.0 |
1 139.0 |
280.0 |
668.0 |
4 579.0 |
2 463.0 |
3 732.0 |
6 318.0 |
7 617.0 |
6 658.0 |
4 676.0 |
4 852.0 |
3 638.0 |
7 004.0 |
4 684.0 |
3 906.0 |
2 796.0 |
1 202.0 |
2 631.0 |
3 766.0 |
12 771.0 |
3 451.0 |
5 983.0 |
Zobowiązania krótkoterminowe |
7 454.0 |
7 140.0 |
8 044.0 |
11 449.0 |
13 448.0 |
13 927.0 |
12 635.0 |
19 161.0 |
19 837.0 |
20 852.0 |
21 731.0 |
23 072.0 |
22 811.0 |
24 262.0 |
25 675.0 |
25 085.0 |
27 747.0 |
26 287.0 |
30 537.0 |
31 230.0 |
35 964.0 |
42 493.0 |
45 226.0 |
55 802.0 |
46 282.0 |
50 321.0 |
Rozliczenia międzyokresowe |
0.0 |
0.0 |
4 104.0 |
5 001.0 |
0.0 |
0.0 |
0.0 |
0.0 |
2 609.0 |
3 430.0 |
2 793.0 |
2 224.0 |
2 556.0 |
3 139.0 |
3 607.0 |
3 567.0 |
5 490.0 |
6 148.0 |
1 854.0 |
7 640.0 |
0.0 |
0.0 |
0.0 |
0.0 |
2 993.0 |
0.0 |
Zobowiązania długoterminowe |
5 496.0 |
5 373.0 |
6 211.0 |
6 410.0 |
7 946.0 |
7 577.0 |
7 519.0 |
12 077.0 |
17 798.0 |
21 549.0 |
22 363.0 |
23 257.0 |
33 753.0 |
32 259.0 |
32 955.0 |
36 282.0 |
34 514.0 |
44 503.0 |
66 606.0 |
61 972.0 |
62 293.0 |
69 123.0 |
62 769.0 |
54 772.0 |
52 502.0 |
58 293.0 |
Rezerwy z tytułu odroczonego podatku |
287.0 |
255.0 |
493.0 |
643.0 |
780.0 |
403.0 |
211.0 |
1 319.0 |
1 493.0 |
1 432.0 |
1 424.0 |
1 447.0 |
1 800.0 |
3 136.0 |
3 989.0 |
3 154.0 |
2 562.0 |
2 910.0 |
8 368.0 |
7 506.0 |
5 958.0 |
7 214.0 |
7 487.0 |
6 374.0 |
3 193.0 |
2 448.0 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
716.0 |
1100.0 |
1000.0 |
1100.0 |
1100.0 |
0.0 |
Zobowiązania ogółem |
12 950.0 |
12 513.0 |
14 255.0 |
17 859.0 |
21 394.0 |
21 504.0 |
20 154.0 |
31 238.0 |
37 635.0 |
42 401.0 |
44 094.0 |
46 329.0 |
56 564.0 |
56 521.0 |
58 630.0 |
61 367.0 |
62 261.0 |
70 790.0 |
97 143.0 |
93 202.0 |
98 257.0 |
111 616.0 |
107 995.0 |
110 574.0 |
98 784.0 |
108 614.0 |
Kapitał własny |
16 213.0 |
18 808.0 |
24 233.0 |
22 697.0 |
26 869.0 |
31 813.0 |
37 871.0 |
39 318.0 |
43 319.0 |
42 511.0 |
50 588.0 |
56 579.0 |
57 080.0 |
64 826.0 |
74 053.0 |
69 752.0 |
71 150.0 |
70 418.0 |
60 160.0 |
59 752.0 |
59 471.0 |
63 278.0 |
74 023.0 |
76 804.0 |
68 774.0 |
71 490.0 |
Udziały mniejszościowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Pasywa |
29 163.0 |
31 321.0 |
38 488.0 |
40 556.0 |
48 263.0 |
53 317.0 |
58 025.0 |
70 556.0 |
80 954.0 |
84 912.0 |
94 682.0 |
102 908.0 |
113 644.0 |
121 347.0 |
132 683.0 |
131 119.0 |
133 411.0 |
141 208.0 |
157 303.0 |
152 954.0 |
157 728.0 |
174 894.0 |
182 018.0 |
187 378.0 |
167 558.0 |
180 104.0 |
Inwestycje |
1 957.0 |
2 333.0 |
4 214.0 |
4 581.0 |
4 146.0 |
3 681.0 |
83.0 |
1.0 |
1 545.0 |
2 045.0 |
3 615.0 |
8 303.0 |
7 719.0 |
6 178.0 |
8 279.0 |
18 566.0 |
24 644.0 |
22 935.0 |
472.0 |
13 671.0 |
1 982.0 |
11 200.0 |
17 121.0 |
9 392.0 |
5 541.0 |
417.0 |
Dług (mln) |
4 256.0 |
3 516.0 |
2 782.0 |
4 139.0 |
4 094.0 |
2 845.0 |
2 685.0 |
6 593.0 |
9 537.0 |
11 852.0 |
14 541.0 |
16 773.0 |
19 627.0 |
16 165.0 |
18 180.0 |
18 760.0 |
19 861.0 |
27 126.0 |
34 581.0 |
30 480.0 |
27 696.0 |
35 266.0 |
33 751.0 |
39 659.0 |
30 432.0 |
36 634.0 |
Środki pieniężne i inne aktywa pieniężne |
2 363.0 |
3 411.0 |
3 758.0 |
2 894.0 |
5 377.0 |
9 203.0 |
16 055.0 |
4 083.0 |
7 770.0 |
10 768.0 |
15 810.0 |
19 355.0 |
24 542.0 |
14 911.0 |
20 927.0 |
14 523.0 |
13 732.0 |
18 972.0 |
17 824.0 |
18 107.0 |
17 305.0 |
13 985.0 |
14 487.0 |
14 127.0 |
21 859.0 |
24 105.0 |
Dług netto |
1 893.0 |
105.0 |
(976.0) |
1 245.0 |
(1 283.0) |
(6 358.0) |
(13 370.0) |
2 510.0 |
1 767.0 |
1 084.0 |
(1 269.0) |
(2 582.0) |
(4 915.0) |
1 254.0 |
(2 747.0) |
4 237.0 |
6 129.0 |
8 154.0 |
16 757.0 |
12 373.0 |
10 391.0 |
21 281.0 |
19 264.0 |
25 532.0 |
8 573.0 |
12 529.0 |
Ticker |
JNJ |
JNJ |
JNJ |
JNJ |
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JNJ |
JNJ |
JNJ |
JNJ |
JNJ |
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