AGF Management Limited

TSX:AGF-B.TO

10.68 (CAD) • At close November 4, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operationele Activiteiten:
Nettowinst 87.766.64739.297173.90847.85872.99348.4440.9248.32859.12722.41427.657112.974116.77597.694128.592175.866112.657107.48977.28744.016119.839163.75487.88861.748.840.522.416.915.99.9
Afschrijvingen & Amortisatie 9.1211.65210.498.2174.2439.60447.46748.28652.88363.8486.11922.394100.69387.20496.702113.997123.827-134.774-139.0130139.319-147.18122.487070.352.735.226.73.92.93.4
Uitgestelde Inkomstenbelasting 27.3220.612-22.23122.9757.126-2.791-3.53-2.9-27.964-39.00720.5010-11.593-18.339-30.896-50.81810.253-20.411-7.458-37.89111.155-9.05-47.83536.74835.327.32110.8-0.93.5-0.7
Aandelen Gebaseerde Vergoedingen 9.5237.7039.6385.8176.0414.8396.0425.1825.6324.43412.831.958.8056.8634.815.548000000000000000
Verandering in Werkkapitaal 1.785-16.4079.257-16.0969.823-6.0410.354-12.4524.804-13.8795.716-0.816-49.4-44.669-16.61572.71986.6762.3056.96304.455-0.701000000000
Vorderingen -2.097-2.818-0.0754.1887.151-5.6254.515-12.2882.1176.9468.96210.79811.843.088-7.66214.602000000000000000
Voorraden 0000000000000000000000000000000
Crediteuren -2.901000000000000000000000000000000
Overig Werkkapitaal 3.882-13.5899.332-20.2842.672-0.416-4.161-0.1642.687-20.825-3.246-11.614-61.24-47.757-8.95358.11786.6762.3056.96304.455-0.701000000000
Overige Niet-Contante Posten -47.656-25.6071.352-102.365-7.613-50.939-38.644-22.861-31.556-31.405-26.507-136.45711.91930.62437.81981.365-103.274170.245134.886168.398-125.636163.584145.96490.798-3.611.12.1-0.33-1.312.9
Kasstroom uit Operationele Activiteiten 87.23964.647.80392.45667.47557.66560.12956.17552.12743.11121.073-107.666173.398178.458189.514351.403398.84222.21234.344207.794208.544266.448284.37215.434163.7139.998.859.622.92125.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3.443-16.339-13.273-3.303-1.54-3.487-2.611-6.348-4.429-1.387-3.424-9.504-3.962-2.88-2.125-6.753-8.328-14.96-114.73-11.358-14.528-26.057-24.24-19.398-7.1-6.5-6-98.5-3.8-2.7-2.3
Netto Overnames -0.422-1.28-0.311-1.363-14.766-3.325-0.2924.718-6.4255.559-7.136-16.977-177.283-0.116-19.924-25.224-27.673-4.116-5.376-19.961-10.53-42.8220-279.7590000000
Aankoop van Beleggingen -53.853-50.4-39.452-15.001-78.31-52.717-18.478-48.569-132.917-43.529-5.076-15.735-13.6060-345.514-781.3740-9.677-24.222-14.986-0.604-8.52600-0.7-1.500-7.3-14.1-1.5
Verkoop/verval van Beleggingen 20.24627.6856.384258.73448.23212.8127.918108.92316.71613.69225.8047.368165.244514.143791.3610025.64324.89314.98600001.400.124.715.90.83.3
Overige Investeringsactiviteiten -35.528-25.21222.0511.363-45.898-40.9788.50459.191-117.463-20.44119.4-0.166-49.013-49.408-53.793-261.629-1,543.107-1,045.296-557.036-280.223-147.143-376.964-250.589-187.756-149.9-154.4-94.2-64.6-4.6-7.1-4.6
Kasstroom uit Investeringsactiviteiten -37.472-40.334-24.601240.43-46.384-46.7196.53758.724-127.055-25.66510.168-35.014-78.62461.739370.005-1,074.98-1,579.108-1,048.406-676.471-311.542-172.805-454.369-274.829-486.913-156.3-162.4-100.1-138.40.2-23.1-5.1
Financieringsactiviteiten:
Schuldaflossingen -5.647-4.761-4.5-4.728-18.5-50-50-80-129.10-11.6910-143.678-13.0530-36.152-104-4.684-79.9520-113.992-15.2360-282.6-9.20-48.8-48000
Uitgifte van Gewone Aandelen 6.5443.3565.2530.3610.7571.9480.13300.0914.2323.212.5546.961.9242.5312.48318.3029.928.11709.09284.836134.4720.61248.837.200.20.2
Terugkoop van Gewone Aandelen -13.382-45.995-7.499-48.241-3.509-10.689-3.489-7.043-45.981-27.549-30.654-88.735-8.08200-7.792-45.532-13.28-42.5210-2.083-2.950-2.27200-6.110-0.500
Uitgekeerde Dividenden -27.328-26.215-23.507-24.61-24.874-25.084-25.075-25.075-41.988-90.651-92.775-99.222-97.325-89.157-86.194-80.242-70.151-61.521-50.522-37.474-27.15-22.967-19.577-14.092-11.6-10-6.5-6.3-6.2-3.9-3.4
Overige Financieringsactiviteiten -18.12121.485-0.474-213.31911.40443.828-5.458-8.38579.077-11.844-0.765452.748-62.572-358.231-785.154601.5741,806.3631,133.927643.265140.38857.2236.827-147.734585.16224.352.441.910.13.3-3.856.9
Kasstroom uit Financieringsactiviteiten -57.934-52.13-30.727-290.537-16.22210.003-83.889-120.503-137.901-125.812-132.675267.345-304.697-458.517-868.817479.8711,604.9821,064.362478.387102.914-76.933280.51-32.839286.7984.544.429.33-3.4-7.553.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000-2.7477.7674.90930.7344.455-0.701-30.97819.7220.100000.1-0.1
Netto Kasstroomverandering -8.167-27.864-7.52542.3494.86920.949-17.223-5.604-212.829-108.367-1.434124.665-209.919181.68-309.298-243.706421.967245.93341.16929.9-36.73991.888-54.27635.0411221.928-75.819.7-9.574
Kaspositie aan het Einde van de Periode 50.45358.6286.48494.00951.6646.79125.84243.06548.669261.498369.865371.299246.631456.55274.87584.168827.874405.907159.974118.805107.97144.70952.821107.09772.160.138.210.28666.375.8