Ampco-Pittsburgh Corporation

NYSE:AP

1.76 (USD) • At close November 1, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7.2868.73510.33716.8426.9619.71320.738.57995.12297.09897.9178.88969.88870.02166.44181.60771.62756.0847.91436.79535.73927.68513.51417.86116.333.121.725.515.619.39.63.64.62.42.85.44.32.24.4
Kortetermijnbeleggingen 00000000-0.631-0.921-0.921000.1120.112-0.4710031.5500000000000000000000
Liquide middelen en kortetermijnbeleggingen 7.2868.73510.33716.8426.9619.71320.738.57995.12297.09897.9178.88969.88870.02166.44181.60771.62756.08439.46436.79535.73927.68513.51417.86116.333.121.725.515.619.39.63.64.62.42.85.44.32.24.4
Nettovorderingen 99.30393.49284.82976.36697.78386.44899.62385.23361.87771.86374.77972.79477.21164.73459.62167.76369.93366.5747.33837.49638.80239.05945.50649.18151.135353228.721.217.935.841.937.742.558.355.173.977.4
Voorraad 124.694121.73988.19873.24382.28994.196107.56183.57959.73454.71364.12970.66968.54468.82269.97562.63469.22855.91248.53654.31948.2647.05547.27848.01147.335.535.533.233.530.328.245.64853.253.46266.594.6122.8
Overige vlottende activa 5.377.4424.9335.3816.387.27112.36314.0732.9498.5829.96815.2312.88813.65613.7916.88617.2638.4146.2528.33711.5256.6858.3745.7023.94.14.58.514.294.82.72.93.7816.516.44.17.3
Totaal vlottende activa 236.653231.408188.297171.832193.412227.866240.247221.464219.682232.256246.786237.582228.531217.233209.827228.89228.051186.98141.59136.947134.326120.484114.672120.755118.6107.796.799.29279.860.587.797.497106.7142.2142.3174.8211.9
Niet-vlottende activa:
Materiële vaste activa, netto 163.499158.52162.619166.442170.655185.661214.98214.408146.913149.839151.288150.297150.24145.591119.9486.73375.10168.59366.64569.43269.49883.73286.23493.43988.776.872.557.355.249.750.68186.788.993.8103.7111.5140.8160.3
Goodwill 00000000107.2300002.6942.6942.6942.6942.6942.6942.6942.694000000000000000000
Immateriële activa 4.9475.1946.2047.2177.6259.22511.02111.6011.1930000000002.694002.69400000000000000000
Goodwill en immateriële activa 4.9475.1946.2047.2177.6259.22511.02111.601108.423123.65186.24199.715108.4192.6942.6942.6942.6942.6942.6942.6942.6942.69400000000000000000
Langetermijnbeleggingen 147.422.1752.1752.1752.1752.1752.1752.0193.0973.9145.0113.31914.87214.1614.867000-16.542-18.8430000000000000000000
Belastingvorderingen 3.162.1412.1762.4932.9973.1881.594.82420.56920.0556.83225.823.63820.14825.95335.1562.19610.84816.54218.8430000000000000000000
Overige niet-vlottende activa 9.975103.336124.161113.049129.696143.00495.586111.5737.4726.6946.5166.4665.932127.13798.544135.50896.35112.09630.9428.87127.60528.1440.66530.2728.527.327.631.724.222.427.42225.943.160.748.754.62514.1
Totaal niet-vlottende activa 329.001271.366297.335291.376313.148343.253325.352344.425286.474304.153255.887295.597303.101309.73261.998260.091176.341194.231100.279100.99799.797114.566126.899123.709117.2104.1100.18979.472.178103112.6132154.5152.4166.1165.8174.4
Totaal activa 565.654502.774485.632463.208506.56571.119565.599565.889506.156536.409502.673533.179531.632526.963471.825488.981404.392381.211241.869237.944234.123235.05241.571244.464235.8211.8196.8188.2171.4151.9138.5190.7210229261.2294.6308.4340.6386.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 37.23143.20944.2326.67833.27138.947.47937.10413.95916.72115.76815.83919.52820.13715.79916.90619.41815.9314.87815.44611.76112.28913.73913.7814.29.28.68.68.365.410.512.1000000
Kortlopende schulden 13.21713.04520.64813.1120.97545.72819.33526.82513.31113.31113.31113.31113.31113.31113.31113.31113.31113.31113.3110001.3520000000.814.51616.623.930.831.832.233.6
Belastingschulden 000000003.2561.7171.0630011.43311.43313.64900000000000000000000000
Uitgestelde opbrengsten 02.14119.5922.85426.0984.3046.8124.13312.19511.53910.616.81910.98311.6910.49710.83212.96811.0099.170007.5970000000000000000
Overige kortlopende verplichtingen 66.43757.8340.57442.6943.88878.52171.04756.2341.86839.91946.98550.45545.33744.58249.89847.16445.44934.71216.67525.72422.26822.61412.43818.8426.117.215.217.616.714.314.417.72032.428.849.849.161.470.9
Totaal kortlopende verplichtingen 116.885116.225125.042105.332124.232167.453144.671144.29281.33381.4986.67486.42489.15989.7289.50588.21391.14674.96254.03441.1734.02934.90335.12434.6240.326.423.826.22520.320.642.748.14952.780.680.993.6104.5
Langlopende verplichtingen:
Langetermijnschulden 116.38295.94744.32728.47754.14531.88146.81825.3890000000000042.18329.991030.26214.66114.712.612.60001.427.327.828.45765.155.979.382
Uitgestelde opbrengsten niet-vlottend 3.8222.51862.11481.83283.93672.65879.7591.9470000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.5432.5183.8581.4030.5430.1640.4330.59130.97900000000016.54218.84320.55619.82518.40415.81711.411.711.39.910.94.400021.925.10000
Overige niet-vlottende verplichtingen 256.451172.17158.485161.165188.088205.994132.166153.836182.421249.771181.004254.662249.601240.466203.118255.781125.516166.04529.9927.2315.00230.3010.37416.88916.818.819.732.423.424.225.326.420.60-0.128.421.423.17.5
Totaal niet-vlottende verplichtingen 377.198273.153268.784272.877326.712310.697259.167271.763213.4249.771181.004254.662249.601240.466203.118255.781125.516166.04546.53468.25755.54950.12649.0447.36742.943.143.642.334.328.626.753.748.450.38293.577.3102.489.5
Totaal passiva 494.083389.378393.826378.209450.944478.15403.838416.055294.733331.261267.678341.086338.76330.186292.623343.994216.662241.007100.568109.42789.57885.02984.16481.98783.269.567.468.559.348.947.396.496.599.3134.7174.1158.2196194
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 19.72919.40419.18418.31212.65212.49512.36112.27110.4410.42610.37310.34610.32610.30510.24610.17710.1779.8379.7679.7479.6549.6329.6099.6039.600000000000000
Ingehouden winsten -72.997-32.322-56.066-43.371-51.341-30.35538.34845.443129.742135.949144.635139.658138.748124.872116.80496.48191.23357.99445.29334.16339.56445.9747.5652.3854028.716.62.6-7.5-15.1-22.2-16.21.217.720.19.739.737.286.4
Overige gereserveerde algehele resultaten -62.989-58.412-55.106-68.695-68.662-49.434-44.76-60.885-57.599-68.753-45.865-82.375-79.29-59.474-64.244-75.142-25.577-33.05516.185-19.597-7.884-8.587-2.553-2.2920.3-73.9-66.7-91.1-57-51.7-46.3-78.6-72.7-64.5-60.2-72.4-69.6-79.6-73.9
Overige totale aandeelhoudersvermogen 177.196175.656174.561170.318156.251154.889152.992151.089128.84127.526125.852124.464123.088121.074116.396113.471111.897105.42870.056104.204103.211103.006102.791102.781102.7187.5179.5208.2176.6169.8159.7189.1185176.5166.6183.2180.1187179.8
Totaal eigen vermogen van aandeelhouders 60.939104.32682.57376.56448.987.595158.941147.918211.423205.148234.995192.093192.872196.777179.202144.987187.73140.204141.301128.517144.545150.021157.407162.477152.6142.3129.4119.7112.110391.294.3113.5129.7126.5120.5150.2144.6192.3
Totaal eigen vermogen 71.571113.39691.80684.99955.61692.969161.761149.834211.423205.148234.995192.093192.872196.777179.202144.987187.73140.204141.301128.517144.545150.021157.407162.477152.6142.3129.4119.7112.110391.294.3113.5129.7126.5120.5150.2144.6192.3
Totaal passiva en aandeelhoudersvermogen 565.654502.774485.632463.208506.56571.119565.599565.889506.156536.409502.673533.179531.632526.963471.825488.981404.392381.211241.869237.944234.123235.05241.571244.464235.8211.8196.8188.2171.4151.9138.5190.7210229261.2294.6308.4340.6386.3