The Aaron's Company, Inc.

NYSE:AAN

10.09 (USD) • At close October 3, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 2.823-5.28109.934-265.91228.09950.653142.918139.283135.70978.233120.666173.043113.767118.376112.60190.18980.27578.63557.99352.61636.42627.4412.33627.26125.60221.48418.39615.3930
Afschrijvingen & Amortisatie 549.583592.049593.842571.26601.964573.969551.5481,386.6731,292.8471,018.234685.105661.433603.564549.532519.371471.393444.874395.581333.131277.187215.397179.04153.548133.109112.74698.0977.48770.69345.8
Uitgestelde Inkomstenbelasting -12.101-13.58128.725-119.19318.22610.042-51.475-35.16238.97-7.157-36.763-23.24159.44963.84315.03266.345-11.39418.49-20.26139.9193.49629.5541.1686.5766.5991.1243.805-0.899-0.3
Aandelen Gebaseerde Vergoedingen 11.94912.3913.14824.44213.48615.51715.0570000000000000000000000
Verandering in Werkkapitaal -608.242-709.023-797.958150.04275.08285.439240.9-108.703202.526124.501-63.427398.109103.814-1.712126.162-65.4687.59936.93141.40180.4719.90761.133230.0534.8511.3282.04161.012-69.093-0.5
Vorderingen -41.469-45.881-23.679-27.914-39.881-26.733-31.222-149.826-173.159-110.269-30.419-18.528-43.211-3.567-6.582000000000000-2.3390.3
Voorraden 5.9655.026-6.609203.761236.627271.524325.749-1,181.6-1,264.822-1,008.788-538.399-695.904-594.062-634.17000000000000000
Crediteuren 35.427-1.9956.60963.792-2.10642.873-51.431-51.64325.458-12.78816.893-4.63500000000000000000
Overig Werkkapitaal -608.165-666.173-774.279-89.597-119.56-2.225-2.1961,274.3661,615.0491,256.346488.4981,117.176741.087636.025132.744-65.4687.59936.93141.40180.4719.90761.133230.0534.8511.3282.04161.012-66.754-0.8
Overige Niet-Contante Posten 236.402293.877188.349-4.87-550.878-749.084-788.778327.953-1,517.454-1,273.636-399.486-1,156.044-581.784-685.537-583.445-486.72-412.189-454.676-418.751-415.455-198.177-75.498-207.747-5.632-5.982-2.111-55.40573.43110.1
Kasstroom uit Operationele Activiteiten 180.414170.432136.04355.769185.977186.536110.17467.236166.761-48.962308.43759.754307.19549.261193.41775.739109.16574.961-6.48734.73867.049221.669189.358166.165140.293120.628105.29589.52555.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -94.415-107.98-92.704-69.037-79.932-67.099-48.333-57.453-60.557-47.565-58.145-65.073-78.211-87.636-83.14-74.924-141.518-95.482-61.449-37.723-37.898-394.302-272.697-303.341-239.963-196.705-160.427-154.557-78.4
Netto Overnames 17.294-266.692-9.963-14.434-11.472-188.959-144.4170000000000000000000000
Aankoop van Beleggingen 0014.9420000000-74.845-91-100.513000000-6.436000000000
Verkoop/verval van Beleggingen 001.97401.2123.0662.6580089.99347.93102.1180000006.9937.592000000000
Overige Investeringsactiviteiten 0.24523.2950.3768.4314.0056.98912.687-20.08160.557-42.42885.0653.955178.72487.63683.1474.924141.51895.48254.45636.56737.898394.302272.697303.341239.963196.705160.427154.55732.3
Kasstroom uit Investeringsactiviteiten -76.876-351.377-85.375-75.041-76.187-246.003-177.405-20.081-57.04642.428-85.06-53.955-177.661-87.636-83.14-74.924-141.518-95.482-101.181-75.064-82.245-390.612-278.217-310.288-251.356-198.546-182.092-158.448-46.1
Financieringsactiviteiten:
Schuldaflossingen -119.719-83.334-0.74-347.96-68.531-97.583-103.129-208.607-330.747-441.603-4.954-28.519-17.151-15.683-117.156000000000000-67.4340
Uitgifte van Gewone Aandelen 0.4051.50112.5870000000006.1171.0878.1726.4762.9388.7472.1991.7011.78935.4241.1831.9261.8541.4980.44.5020
Terugkoop van Gewone Aandelen -6.499-13.384-103.098-5.227000-34.52500-125-34.131-127.193-28.0460-7.529-13.4010000-1.6670-4.625-12.673-10.56-8.918-2.889-3
Uitgekeerde Dividenden -14.994-13.53-9.97100000000000000000000000000
Overige Financieringsactiviteiten 68.558294.627-2.72999.776-4.612135.452-79.064-153.663337.569449.426133.82968.493142.345.571113.6334.48313.72-85.8380.4420.341-0.865-32.959-0.3863.49111.639-30.1379.27966.586-5.7
Kasstroom uit Financieringsactiviteiten -72.249185.88-103.951-253.411-73.14337.869-182.193-153.663-337.646-452.4-132.448-62.526-141.036-45.25-109.724-2.716-12.93189.693-0.442-0.3410.86532.9590.386-3.491-11.63930.137-9.279-66.586-9.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.03-0.051-0.0050.0330.12-0.1560.0750.127239.324231.39210.62810.004115.73745.962101.7564.48741.726-67.338109.21841.84514.33135.98788.471147.61122.70647.7886.088135.4950
Netto Kasstroomverandering 31.3194.884-53.29127.3536.767-21.754-249.353293.61911.393-227.542101.557-46.723104.235-37.663102.3092.586-3.5581.8341.1081.178-0.0010.003-0.002-0.0040.004-0.0010.012-0.0140
Kaspositie aan het Einde van de Periode 60.6627.71622.83276.12348.77312.00633.76308.56114.9423.549231.091129.534176.25772.022109.6857.3765.2498.8076.9735.8650.0950.0960.0930.0950.0990.0950.0960.0840.1