Pitney Bowes Inc.

Símbolo: PBI

NYSE

4.13

USD

Preço de mercado atual

  • -1.8889

    Rácio P/E

  • -0.0799

    Rácio PEG

  • 733.77M

    Capitalização da MRK

  • 0.05%

    Rendimento DIV

Pitney Bowes Inc. (PBI) Demonstrações financeiras

No gráfico, pode ver os números predefinidos em dinâmica para Pitney Bowes Inc. (PBI). A receita da empresa mostra a média de 3955.396 M que é o crescimento de 0.004 %. O lucro bruto médio para todo o período é 2282.973 M que é 0.066 %. O rácio médio da margem bruta é 0.589 %. O crescimento do rendimento líquido para o desempenho da empresa no último ano é -11.439 % que é igual a -0.201 % % em média para todo o historial da empresa.,

Balanço

Mergulhando na trajetória fiscal da Pitney Bowes Inc., observamos um crescimento médio dos ativos. Essa taxa, curiosamente, está em , refletindo os altos e baixos da empresa. Quando comparado trimestre a trimestre, esse número se ajusta a 0. Uma retrospectiva do ano passado revela uma mudança total de ativos de 0.000. No domínio dos activos correntes, PBI regista 1691.917 na moeda de reporte. Uma parte significativa destes activos, precisamente 623.219, é detida em dinheiro e investimentos de curto prazo. Este segmento apresenta uma variação de -0.085% quando justaposto com os dados do ano passado. Os investimentos a longo prazo da empresa, embora não sejam o seu foco, situam-se em 250.24, se existirem, na moeda de reporte. Isto indica uma diferença de -3.745% em relação ao último período do relatório, reflectindo as mudanças estratégicas da empresa. O perfil da dívida da empresa mostra uma dívida total de longo prazo de 2365.082 na moeda de reporte. Este valor significa uma variação anual de 0.000%. O valor dos accionistas, representado pelo total do capital próprio, é avaliado em -368.576 na moeda de reporte. A variação anual deste aspeto é -7.077%. Um mergulho mais profundo nas finanças da empresa revela detalhes adicionais. As contas a receber líquidas são avaliadas em 906.336, com uma avaliação de inventário de 70.05 e goodwill avaliado em 734.41, se existir. O total dos activos intangíveis, se existirem, é valorizado em 62.25. As contas a pagar e a dívida de curto prazo são 282.43 e 119, respetivamente. O total da dívida é 2484.08, com uma dívida líquida de 1883.03. Os outros passivos correntes ascendem a 386.26, somando-se ao passivo total de 4640.76. Por último, o stock referido é avaliado em 0, se existir.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985

balance-sheet.row.cash-and-short-term-investments

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940.4
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923.2
1058
803
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515
427.4
398.2
440.5
301.6
299.7
320.1
293.8
318.6
233.4
213.5
256.7
125.7
137.1
135.3
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54.7
71
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62.8

balance-sheet.row.short-term-investments

78.4822.211.214.4
19
115.9
56.4
49
32
102.1
32.1
26.7
36.6
13
30.6
14.7
21.6
63.3
62.5
56.2
3.9
0
3.5
1.8
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balance-sheet.row.net-receivables

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1010
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1601.7
1968.4
1974.7
2113.7
2187.8
2275.4
2339.6
2148.1
2000.6
1968.4
1817.8
1850.8
2009.6
1906.4
2211.9
1783.2
1895.3
1680
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422.3
1406.8
382
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341.6

balance-sheet.row.inventory

340.6370.183.778.6
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68.3
42
89.7
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88.8
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103.6
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178.6
169
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198
237.8
220.9
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163
168
257.5
266.7
249.2
281.9
311.3
430.6
394.7
344.4
342.1
381.4
440.2
372.6
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341.7
289.9

balance-sheet.row.other-current-assets

444.3892.3115.8154.2
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78
68.6
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57.2
149.5
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134.8
107
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341.6
231.1
221.1
197.9
192
172.3
150.6
338.8
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20.2

balance-sheet.row.total-current-assets

6513.441691.917981888.9
2106.9
2237.4
2320.8
2636.5
2325.2
2331.8
2760.1
2836.2
3212.1
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2997.7
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3319.6
2918.7
2742.3
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3342.6
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balance-sheet.row.property-plant-equipment-net

2882.54717.2744.3672.4
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618.2
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626.6
662.9
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1063.8
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1123.5
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1008.3
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1289.7
486
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balance-sheet.row.goodwill

3701.79734.410671135.1
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balance-sheet.row.intangible-assets

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223
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balance-sheet.row.goodwill-and-intangible-assets

3974.24796.71144.91267.5
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2224.6
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1933.3
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2302.4
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2757
2156.3
1959.2
1735.1
1162.6
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635.9
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226.8
223
203.4
205.8
208.7
222.4
231.3
142.1
154.8
158.1
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72.4
58.5
60.9
63.4

balance-sheet.row.long-term-investments

1120.83250.2260333.1
364.2
289
311.4
435.6
425.7
327.3
324.4
34.4
34.5
138.3
251
233.4
0
-472.2
0
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balance-sheet.row.tax-assets

954.92211.5263.1322.8
313.7
408.4
295.8
234.6
204.3
205.7
64.8
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69.2
90
126.8
122.4
64.4
472.2
0
1922258
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balance-sheet.row.other-non-current-assets

2203.13604.7532.1471.1
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balance-sheet.row.total-non-current-assets

11135.662580.32944.43066.8
3110.9
3230.8
3652.1
4042.2
3514.5
3809.7
3725.6
3932.1
4647.8
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5431.9
5576.8
5703.8
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balance-sheet.row.other-assets

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balance-sheet.row.total-assets

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balance-sheet.row.account-payables

2688.56282.4907.1919.4
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balance-sheet.row.short-term-debt

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550
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1911.5
2138.1
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1954
1949.3
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balance-sheet.row.tax-payables

12.256.53.19
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15.2
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34.4
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90.2
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243
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balance-sheet.row.long-term-debt-total

9052.132365.12438.22491.2
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2507.9
2927.1
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2316.8
2419.2
1881.9
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779.2
847.3
1015.4
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1101.8
287.8
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154.8

Deferred Revenue Non Current

131.0784263.131.9
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39.5
116.6
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0
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balance-sheet.row.deferred-tax-liabilities-non-current

954.92---
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balance-sheet.row.other-current-liab

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balance-sheet.row.total-non-current-liabilities

11132.092910.42952.93118.3
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3611.1
3876.3
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4872.2
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3414.3
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balance-sheet.row.other-liabilities

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balance-sheet.row.capital-lease-obligations

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balance-sheet.row.total-liab

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balance-sheet.row.preferred-stock

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balance-sheet.row.common-stock

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balance-sheet.row.retained-earnings

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balance-sheet.row.other-total-stockholders-equity

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556.2
396.2
1496.9
1414.4
1597.3
1436.2
1511.8
1346.6
1166.9
1043.2
904.6
654.3
740.3

balance-sheet.row.total-stockholders-equity

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66.4
286.1
239.5
194.5
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178.7
77.3
188.4
110.6
-39
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13.7
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643.3
699.2
1301.9
1290.1
1087.4
853.3
891.4
1285
1625.6
1648
1872.6
2239
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1745.1
1871.6
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1800.7
1589.4
1428.3
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1028.7
744.2
781.9

balance-sheet.row.total-liabilities-and-stockholders-equity

17649.14272.24742.44955.7
5217.8
5468.3
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8480.4
10621.4
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7901.3
8222.7
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7893.4
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2431.7
2027.6
1762.8

balance-sheet.row.minority-interest

0000
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296.4
296.4
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balance-sheet.row.total-equity

-509.21-368.660.7112.6
66.4
286.1
239.5
194.5
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475.1
373.6
484.8
407
257.4
199.8
310
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643.3
699.2
1301.9
1290.1
1397.4
1163.3
1201.4
1595
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1958.1
2172.6
2239
2271.1
1745.1
1871.6
1652.9
1800.7
1589.4
1428.3
1262.3
1028.7
744.2
781.9

balance-sheet.row.total-liabilities-and-total-equity

17649.1---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

Total Investments

78.4822.2271.1347.5
383.2
404.8
370.8
484.6
464.2
444.3
356.6
65.5
71.2
151.2
281.6
248
21.6
63.3
62.5
56.2
3.9
0
3.5
1.8
15.3
2.4
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.total-debt

9921.192484.12523.52556.2
2783.9
2953.5
3265.6
3830.3
3364.9
2969
3252
3346.3
4017.4
4233.9
4292.7
4439.7
4705.4
4755.8
4338.2
4707.4
3977.8
3569.6
3964.2
3491.2
3159.9
3318.1
2972.1
3051.4
3211.9
3186.6
3405.4
2929.2
2969.4
3008.1
2965.1
2766.1
2208.1
482.6
248.5
212.9

balance-sheet.row.net-debt

7708.9718831853.61823.7
1862.4
2029.1
2398.9
2821.3
2593.9
2291.6
2172.9
2438.5
3104.1
3377.7
3808.4
4026.9
4328.7
4378.7
4099.1
4463.9
3661.6
3275.8
3649
3259.6
2961.6
3063.8
2846.4
2914.3
3076.6
3101.2
3330.3
2874.5
2898.4
2894.6
2886
2705.1
2162.4
388.2
180.3
150.1

Demonstração dos fluxos de caixa

O panorama financeiro da Pitney Bowes Inc. registou uma alteração notável no fluxo de caixa livre durante o último período, apresentando uma mudança de -1.458. A empresa aumentou recentemente o seu capital social através da emissão de 0, marcando uma diferença de -16.392 em relação ao ano anterior. As actividades de investimento da empresa resultaram numa utilização líquida de tesouraria, no montante de -122832000.000 na moeda de relato. Trata-se de uma mudança de 4.061 em relação ao ano anterior. No mesmo período, A empresa registou 160.43, -46.84 e -322.89, que são significativos para compreender as estratégias de investimento e reembolso da empresa. As actividades de financiamento da empresa conduziram a uma utilização líquida de caixa de 0.000, com uma diferença ano após ano de 0.000. Além disso, a empresa atribuiu -35.22 para pagamento de dividendos aos seus accionistas. Ao mesmo tempo, envolveu-se noutras manobras financeiras, referidas como 326.83, que também tiveram um impacto significativo no seu fluxo de caixa durante este período. Estes componentes, em conjunto, dão uma imagem abrangente da situação financeira da empresa e da abordagem estratégica relativamente à gestão do fluxo de caixa.

common:word.in-mln

USD
Growth
TTM20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989

cash-flows.row.net-income

-385.63-385.636.93.5
-191.7
40.1
200
220.5
10.2
343.6
301.7
26.1
179.7
635.9
310.7
444.9
419.8
366.8
105.3
526.6
480.5
498.1
475.8
488.3
627.2
636.3
576.4
526
469.4
583.1
393.6
353.2
314.9
295.3
213.2
186.7

cash-flows.row.depreciation-and-amortization

160.43160.4163.8162.9
160.6
159.1
203.3
182.3
178.5
173.3
198.1
211.2
255.6
272.1
303.7
338.9
379.1
383.1
363.3
332
306.8
288.8
264.3
317.4
321.2
412.1
361.3
300.1
278.2
271.6
268.3
263
250.8
238.1
220.6
194.5

cash-flows.row.deferred-income-tax

116.27-50.83.7-19.9
14.9
4.9
57
-23.9
3.9
40.2
1.5
-33.8
-93
34.4
154.7
0
17.6
162.9
52.8
0
134.6
140.5
323.4
196.3
135.2
158.8
64.8
185.5
106.3
148.8
119.2
81.8
-8.7
46.8
-25.9
-98.3

cash-flows.row.stock-based-compensation

9.69.616.620.9
17.5
23.1
21
24.4
14.9
21
17.4
14.9
18.2
18.7
20.1
22.5
26.4
27.4
27.4
0
47.4
0
0
0
-4.7
-43.1
0
0
-16.8
-199
-3.4
0
0
11.2
10.7
10.5

cash-flows.row.change-in-working-capital

-10.95-10.9-17.7105.1
71.6
-44.6
-65.4
39.1
53
18.7
81.5
168.2
260.9
-62.5
282.5
236.3
77.8
96.1
-277.4
13.9
-14.6
-24.8
-252.9
-153.7
-184.3
-182.9
-178.8
-227
-117.1
-207.7
-275
-256.7
-49.7
-76.1
75
-130.7

cash-flows.row.account-receivables

-6.03-6-29.337.5
-47.2
8.3
-35.6
-20.6
44
-13.8
45
59
-3.1
59
43.2
84.2
-20.4
-46.6
-46.6
-87646
-51085
-21557
12833
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.inventory

14.2914.3-4.9-8
3.1
-5.6
0.1
5.6
-7
-7.6
9.1
67.2
-0.6
-12.8
-11.9
12.2
2
7.7
-0.1
-7.8
17.1
19
-24.6
61.3
-71.2
11.3
-11.5
30.5
35.3
9.8
-43.8
-51.3
-19.4
37.7
28.8
-69.3

cash-flows.row.account-payables

-22.13-43.118.677.5
145.8
10
54.1
-14.1
-64.9
-112
-51.1
-95.8
-47
-12.9
28.8
-127.3
-76.9
42.2
42.2
3324
15385
-4870
-1686
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.other-working-capital

2.9223.9-2-1.9
-30.1
-57.3
-84
68.2
80.9
152.1
78.4
137.9
311.6
-95.7
222.5
267.2
173.1
92.8
-272.9
84343.8
35668.3
26383.2
-11375.3
-215
-113.2
-194.2
-167.3
-257.5
-152.4
-217.5
-231.2
-205.4
-30.3
-113.8
46.2
-61.4

cash-flows.row.other-non-cash-items

189.75356.8-27.429
229
69.4
-23.7
53.3
230.2
-82.2
55.3
238.1
38.8
21.6
-119.6
-218.6
69.7
24.1
-557.9
-332.9
-10
-51.4
-308
187.5
-22.3
-0.1
-56.6
-81.2
-80.1
-88.3
-34.3
-1.3
-7.2
-28.9
0.1
169.5

cash-flows.row.net-cash-provided-by-operating-activities

79.47000
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

cash-flows.row.investments-in-property-plant-an-equipment

-102.88-102.9-124.8-184
-105
-137.3
-191.4
-171
-160.8
-166.3
-180.6
-137.5
-176.6
-156
-119.8
-166.7
-237.3
-264.7
-327.9
-291.6
-317
-285.7
-224.8
-256.2
-268.6
-304.9
-407.6
-244.1
-272
-337.7
-345.6
-291.8
-224.6
-250.4
-322.7
-299.7

cash-flows.row.acquisitions-net

25.9820106.5-15
-6.6
-22.1
-10.5
-482.9
-37.8
-104.5
102.4
389.7
0
0
-77.5
0
-67.7
-594.1
-230.6
-294.2
-427.3
-22.5
-127
-578.9
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.purchases-of-investments

-18.89-18.9-36.5-74.9
-596.8
-57.2
-81.5
-133.3
-212.8
-274.6
-670.6
-364
-369.4
0
0
-8.4
0
29.6
-1.3
-44.1
-1.7
0
0
0
-12.9
0
-1.7
-0.4
0
-2.6
0
0
0
-4.1
-0.8
0

cash-flows.row.sales-maturities-of-investments

25.8225.828.7126.8
634.8
29.7
187.7
113.5
287.4
207.1
622.7
382.6
352.1
0
0
1.5
37.5
42.4
109
30.2
0
3.6
1.1
13.5
0
0.7
0
0
0.5
0
0.6
0.5
2.9
0
0
0

cash-flows.row.other-investing-activites

-52.86-46.81.9-8.1
-2
676.4
355.5
10.7
8.6
35.2
-17.3
-20.1
107.1
67.4
-104.2
1.7
33.4
60.5
1170.2
127.4
-26.2
270.5
49.9
-17.9
425.8
-233.3
491.5
471.1
-21.1
118.8
-176.8
92.4
-111.6
-160.9
-205
-539.3

cash-flows.row.net-cash-used-for-investing-activites

-122.83-122.8-24.3-155.3
-75.7
489.6
259.7
-663
-115.6
-303.1
-143.3
250.7
-86.7
-88.6
-301.5
-172
-234.1
-726.3
719.5
-472.2
-772.2
-34
-300.9
-839.5
144.3
-537.5
82.2
226.6
-292.6
-221.5
-521.8
-198.9
-333.3
-415.4
-528.5
-839

cash-flows.row.debt-repayment

-322.89-322.9-124.1-1445.7
-1105.7
-930.2
-570.2
-964.5
-461
-516.1
-599.9
-1079.2
-550
-50
-170.8
-539.7
-125.4
0
0
0
0
0
-439.9
-280.4
0
0
-92.5
-166.8
0
0
-480.2
-49.5
-15.6
0
0
-605.2

cash-flows.row.common-stock-issued

0000
0
390
0
0
894.7
240.9
7.2
6.8
9.3
12.9
11.4
12
20.2
107.5
175.6
83
73.3
52.3
34.8
30.8
40
56.4
59.6
133.4
31.2
227
22.7
22.5
23.8
18.7
19.2
19.1

cash-flows.row.common-stock-repurchased

00-13.40
0
-105
0
0
-197.3
-131.7
-50
411.6
340
-100
-100
-375
-333.2
-400
-400
-258.8
-200
-200
-300.1
-300
-664
-438.2
-578.5
-662.8
-144.5
-98
-268.4
-86.9
-89.4
0
-21.5
-19.3

cash-flows.row.dividends-paid

-35.22-35.2-34.7-34.8
-34.3
-35.4
-140.5
-139.5
-140.6
-150.1
-151.6
-188.8
-300.6
-299.6
-301.5
-317
-291.6
-288.8
-285.1
-284.3
-282.3
-280.9
-282.2
-285.2
-292.7
-272.9
-247.5
-231.4
-206.1
-181.7
-162.7
-142.1
-123.1
-107.9
-94.8
-81.7

cash-flows.row.other-financing-activites

326.83326.8-25.81150.2
904.6
-6.1
-55.7
1471.8
-320
-13.8
482.4
-18.4
-18.4
-18.4
-19.1
593.9
-11.8
376.9
69.7
323.1
215.4
-422.1
864.7
671.9
-149
340.7
0.1
0.1
20
-224.1
960.3
0.1
-0.1
54
143
1210.3

cash-flows.row.net-cash-used-provided-by-financing-activities

-31.27-31.3-198.1-330.4
-235.4
-686.6
-766.4
367.7
-224.1
-570.7
-311.8
-868.1
-519.6
-455
-580
-625.9
-741.9
-204.4
-439.7
-137
-193.6
-850.7
-122.8
-162.9
-1065.8
-314
-858.8
-927.5
-299.4
-276.8
71.7
-255.9
-204.4
-35.2
45.9
523.2

cash-flows.row.effect-of-forex-changes-on-cash

5.75.7-16.1-4.9
6.1
2
-25.4
44
-26.7
-44.4
-29.1
-13
3.2
-4.7
1
9.8
-15
8.3
2.4
-3.1
6.9
12.1
4.7
-0.2
-6.8
-1
-1.9
-0.6
2
0.1
2.2
-1.6
-4.9
-1.3
6.9
-0.6

cash-flows.row.net-change-in-cash

-68.93-68.9-62.5-189
-3
57.2
-141.8
244.5
124.3
-403.6
171.3
-5.5
57
371.9
71.6
36.1
-0.5
138.1
-4.4
-72.7
-14.2
-21.3
83.6
33.3
-56
128.6
-11.4
1.9
49.9
10.3
20.5
-16.4
-42.5
34.5
18
15.8

cash-flows.row.cash-at-end-of-period

2212.21601.1670732.5
921.5
924.4
867.3
1009
764.5
650.6
1079.1
907.8
913.3
856.2
484.4
412.7
376.7
377.2
239.1
243.5
316.2
293.8
315.2
231.6
198.3
254.3
125.7
137.2
135.3
85.4
75.2
54.6
71
113.6
79
60.9

cash-flows.row.cash-at-beginning-of-period

2281.14670732.5921.5
924.4
867.3
1009
764.5
640.2
1054.1
907.8
913.3
856.2
484.4
412.7
376.7
377.2
239.1
243.5
316.2
330.4
315.2
231.6
198.3
254.3
125.7
137.1
135.3
85.4
75.1
54.7
71
113.5
79.1
61
45.1

cash-flows.row.operating-cash-flow

79.4779.5176301.5
302
252.2
392.3
495.8
490.7
514.6
655.5
624.8
660.2
920.2
952.1
824.1
990.4
1060.5
-286.6
539.6
944.6
851.3
502.6
1035.9
872.2
981.1
767.1
703.4
639.9
508.5
468.4
440
500.1
486.4
493.7
332.2

cash-flows.row.capital-expenditure

-102.88-102.9-124.8-184
-105
-137.3
-191.4
-171
-160.8
-166.3
-180.6
-137.5
-176.6
-156
-119.8
-166.7
-237.3
-264.7
-327.9
-291.6
-317
-285.7
-224.8
-256.2
-268.6
-304.9
-407.6
-244.1
-272
-337.7
-345.6
-291.8
-224.6
-250.4
-322.7
-299.7

cash-flows.row.free-cash-flow

-23.41-23.451.1117.5
197
115
200.8
324.8
329.9
348.3
475
487.3
483.6
764.2
832.3
657.3
753.1
795.8
-614.5
248
627.7
565.6
277.7
779.7
603.7
676.2
359.5
459.3
367.9
170.8
122.8
148.2
275.5
236
171
32.5

Linha de demonstração de resultados

A receita da Pitney Bowes Inc. registou uma variação de -0.077% em comparação com o período anterior. O lucro bruto de PBI é reportado como 3022.98. As despesas operacionais da empresa são 3429.48, apresentando uma variação de 261.292% em relação ao ano anterior. As despesas de depreciação e amortização são 160.43, o que representa uma variação de -0.021% em relação ao último período contabilístico. As despesas operacionais são reportadas como 3429.48, o que mostra uma variação anual de 261.292%. As despesas de vendas e marketing são 0, o que representa uma variação de 0.000% em relação ao ano anterior. O EBITDA baseado nos números recentes é de 0, representando um crescimento de -25.672% em relação ao ano anterior. O rendimento operacional é -406.5, que apresenta uma variação de 25.672% em comparação com o ano anterior. A variação no rendimento líquido é de -11.439%. O rendimento líquido do último ano foi de -385.63.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985

income-statement-row.row.total-revenue

3266.353266.335383673.6
3554.1
3205.1
3522.4
3549.9
3406.6
3578.1
3821.5
3869.4
4904
5278
5425.3
5569.2
6262.3
6129.8
5730
5492.2
4957.4
4576.9
4409.8
4122.5
3880.9
4432.6
4220.5
4100.5
3858.6
3554.8
3270.6
3542.9
3434.1
3332.5
3195.6
2875.7
2649.9
2250.5
1986.7
1831.8

income-statement-row.row.cost-of-revenue

1223.59243.42457.62551.6
2406.2
1922.1
1892.9
1722.7
1514.7
1558.6
1680.8
1697.2
2432.7
2615.2
2678.3
2738
2978.3
2870.8
2640.3
2479
2241.1
2207.1
1986.4
1890.6
1126.3
1277.9
1302.2
1339.2
1276.8
1133.1
1026
1064.5
993.3
940.2
898.2
789.4
723.9
714.3
614.2
599.4

income-statement-row.row.gross-profit

2042.7630231080.51122
1147.9
1283
1629.4
1827.3
1891.9
2019.5
2140.7
2172.2
2471.3
2662.7
2746.9
2831.1
3284
3259
3089.7
3013.2
2716.4
2369.8
2423.3
2231.9
2754.6
3154.7
2918.3
2761.3
2581.8
2421.7
2244.6
2478.4
2440.8
2392.3
2297.4
2086.3
1926
1536.2
1372.5
1232.4

income-statement-row.row.gross-profit-ratio

0000
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

income-statement-row.row.research-development

41.41---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
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income-statement-row.row.selling-general-administrative

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income-statement-row.row.selling-and-marketing-expenses

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income-statement-row.row.other-expenses

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361.3
300.1
278.2
271.6
268.3
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250.8
238.1
220.6
194.5
166.2
142.9
122.7
103.7

income-statement-row.row.operating-expenses

2265.883429.5949.2970.9
1001.7
1055.2
1248.7
1367.5
1321.6
1390.1
1488.3
1542.8
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1860.6
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2154.1
2092.8
1929.6
1850.2
1670.9
1367.1
1624.7
1503.3
1759.4
2040.3
1904.8
1757.5
1700.2
1584.1
1514.3
1727.6
1730.4
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1630.3
1486.4
1401.2
1287.2
1155.1
1060.7

income-statement-row.row.cost-and-expenses

3489.473672.83406.83522.5
3407.9
2977.4
3141.7
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2836.3
2948.7
3169.1
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4720.9
5132.4
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3574.2
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3393.9
2885.6
3318.2
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2540.3
2792.1
2723.7
2627.2
2528.5
2275.8
2125.1
2001.5
1769.3
1660.1

income-statement-row.row.interest-income

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110.9
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income-statement-row.row.interest-expense

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105.8
110.9
110.9
113.5
89
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95.3
114.7
115.2
115.4
115.6
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229.3
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income-statement-row.row.selling-and-marketing-expenses

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income-statement-row.row.total-other-income-expensenet

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222
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49.6
19.3
8.5
6.7
7.5
30.4
11.5
12.1
14.3
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63.8
55.9

income-statement-row.row.ebitda-ratio-caps

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income-statement-row.row.other-operating-expenses

1333.742490.817.3-42.6
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103.7

income-statement-row.row.total-operating-expenses

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8.5
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30.4
11.5
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14.3
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79.3
63.8
55.9

income-statement-row.row.interest-expense

79.2463.39096.9
105.8
110.9
110.9
113.5
89
87.6
95.3
114.7
115.2
115.4
115.6
111.3
229.3
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income-statement-row.row.depreciation-and-amortization

106160.4163.8162.9
160.6
159.1
203.3
182.3
178.5
173.3
198.1
211.2
255.6
272.1
303.7
338.9
379.1
383.1
363.3
332
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288.8
264.3
317.4
321.2
412.1
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300.1
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263
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220.6
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122.7
103.7

income-statement-row.row.ebitda-caps

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income-statement-row.row.operating-income

-241.94-406.5-15.2-54.4
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48.5
380.7
459.8
570.3
629.4
652.4
629.4
736.1
869.9
918.2
848.2
1129.9
1166.2
1160.1
1162.9
1045.5
1002.6
798.6
728.6
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1114.4
1013.5
1003.8
881.6
837.6
730.3
750.8
710.4
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667.1
599.9
524.8
249
217.4
171.7

income-statement-row.row.income-before-tax

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212.4
283
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610.8
431.2
403.2
604.6
414.3
534.6
693.2
713.2
660.7
914.5
867.1
699.4
721.1
619.4
766.4
802.8
984.6
864.1
803.1
684.4
618.9
566.5
574.8
495.4
461.6
327.6
261
364.2
295.1
259.4
217.9

income-statement-row.row.income-tax-expense

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12.4
21.6
131.8
189.8
112.8
83.1
150.3
44.6
205.8
240.2
244.9
280.2
335
340.5
218.9
226.2
181.7
252.1
239.7
325.4
296.2
277.1
215
211.2
218.1
221.6
183.2
173.7
121
80.9
127.2
95.7
93.3
73.4

income-statement-row.row.net-income

-385.63-385.636.93.5
-191.7
40.1
223.7
261.3
114.3
426.3
352.1
161.2
463.5
617.5
292.4
444.9
419.8
366.8
105.3
526.6
480.5
498.1
475.8
488.3
622.5
636.3
576.4
526
469.4
583.1
274.1
353.2
100.3
295.3
213.2
186.7
243.3
199.4
168
150.4

Perguntas frequentes

O que é Pitney Bowes Inc. (PBI) total assets?

Pitney Bowes Inc. (PBI) o total de activos é 4272185000.000.

Qual é a receita anual da empresa?

A receita anual é 1655329000.000.

Qual é a margem de lucro da empresa?

A margem de lucro da empresa é 0.625.

Qual é o fluxo de caixa livre da empresa?

O fluxo de caixa livre é -0.133.

Qual é a margem de lucro líquido da empresa?

A margem de lucro líquido é -0.118.

Qual é a receita total da empresa?

A receita total é -0.074.

O que é Pitney Bowes Inc. (PBI) lucro líquido (lucro líquido)?

O lucro líquido (rendimento líquido) é -385627000.000.

Qual é a dívida total da empresa?

A dívida total é 2484082000.000.

Qual é o número de despesas operacionais?

As despesas operacionais são 3429479000.000.

Qual é o valor de caixa da empresa?

O dinheiro da empresa é 601053000.000.