Algonquin Power & Utilities Corp.

NYSE:AQN

5.5 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 56.14257.623125.157101.61462.48546.81943.3882.14989.6127.98812.99753.39871.3885.1452.5764.8510.46211.5529.78428.44716.37815.77719.926.3896.631.380.292
Kortetermijnbeleggingen 00000016.11957.14310.82600.56300.8163.67310.037000000000000
Liquide middelen en kortetermijnbeleggingen 56.14257.623125.157101.61462.48546.81943.3882.14989.6127.98812.99753.39872.2048.81912.6134.8510.46211.5529.78428.44716.37815.77719.926.3896.631.380.292
Nettovorderingen 524.194528.057403.426325.644259.144245.728244.033141.104134.526165.487148.09792.7546.31128.24923.22523.51927.28337.4327.5523.23516.79210.2976.3075.1144.7361.7420.374
Voorraad 227.132224.921177.761134.64591.09995.689.27616.08920.53937.36531.49323.6342.6580003.082000000000.1090.016
Overige vlottende activa 166.031212.957174.36570.30857.97766.55973.50149.81736.57253.10392.73311.5372.40717.5324.6822.3277.9342.3821.6511.5041.2610.5040.4350.4720.6280.8450.106
Totaal vlottende activa 1,066.3451,094.481938.743694.957513.191491.605497.181365.934305.352288.346285.32234.456141.83954.640.5230.69648.76151.36438.98653.18634.4326.57926.66211.97511.9934.0760.788
Niet-vlottende activa:
Materiële vaste activa, netto 12,517.4511,944.88511,042.4468,241.8387,231.6646,393.5586,289.8553,638.0822,791.4622,824.1322,543.9332,173.954926.5728.959715.643661.434768.128695.328540.427508.057479.693348.013225.529194.746198.32640.65612.842
Goodwill 1,324.0621,320.5791,201.2441,208.391,031.696954.282951.28228.13979.62479.53479.49861.7789.5100000000000000
Immateriële activa 93.93896.683105.116114.91347.61654.99450.98148.35156.18246.52751.10657.07654.132000100.50496.06966.16869.60763.49238.82700000
Goodwill en immateriële activa 1,4181,417.2621,306.361,323.3031,079.3121,009.2761,002.26276.49135.806126.061130.604118.85463.64373.87482.06480.031100.50496.06966.16869.60763.49238.82700000
Langetermijnbeleggingen 1,599.5391,753.6092,312.8142,029.11,416.115948.90167.17178.441125.96637.28230.75437.84239.00135.89622.94822.296-025.71749.540.39545.64440.76267.2742.734000
Belastingvorderingen 158.48384.41631.59521.8830.58572.41561.2122.32313.0549.15881.36277.966.27973.99411.6942.3782.446.5546.6465.3455.2512.594000.49600
Overige niet-vlottende activa 1,614.1441,332.961,153.878912.828640.603473.213458.9711,756.264225.511219.304189.348149.66918.94613.4367.2666.88743.5824.3547.598.774.0592.4992.3889.6214.26343.06640.841
Totaal niet-vlottende activa 17,307.61616,533.13215,847.09312,528.94910,398.2798,897.3637,879.4675,771.63,291.7953,255.9362,976.0012,558.2191,114.368926.16839.615773.026914.651848.022670.331632.174598.138432.694295.191207.1213.08583.72353.682
Totaal activa 18,373.96117,627.61316,785.83613,223.90610,911.479,388.9688,376.6486,137.5343,597.1473,544.2823,261.3212,792.6751,256.208980.76880.136803.722963.412899.386709.317685.36632.568459.273321.853219.074225.07987.79954.471
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 210.412186.08185.291192.16150.33689.74119.62367.436.3459.04213.60834.4618.2133.50133.41427.99827.27264.35424.61325.35615.3517.7474.8732.854.3950.7060
Kortlopende schulden 621.856423.274356.397139.874225.01313.04812.3357.4966.4467.8657.8321.7772.60671.493.20910.4141.9341.6091.2441.3861.5120.8610.3130.6632.2051.2490
Belastingschulden 000000002.4123.134.8450.5420.3990.20.0050.4450.6760.1210.3750.4960.8810.5280.3880.2790.04600
Uitgestelde opbrengsten 629.7910543.277462.25381.897298.199375.594290.49195.824234.1944.845129.81764.5516.4340.8770.4450.7630.7280.9841.2050.6680.2827.6875.57402.060
Overige kortlopende verplichtingen 223.121925.106279.747160.869114.8297.99455.15541.24243.78531.641202.6488.3195.88413.3566.4942.28312.43910.1249.62110.8969.6997.9221.8481.5385.9231.3891.694
Totaal kortlopende verplichtingen 1,685.181,534.461,364.712955.153872.066498.981562.708406.628282.394332.743228.933174.37581.252124.7843.99441.1442.40776.81536.46238.84327.2316.81214.72110.62512.5235.4051.694
Langlopende verplichtingen:
Langetermijnschulden 7,894.1747,088.7435,854.9784,398.5963,706.8553,323.7473,060.8373,170.8651,064.9711,094.7861,171.379774.02444.064359.558135356.629425.439319.597208.371170.6127.32954.09232.39848.18355.7821.8432.896
Uitgestelde opbrengsten niet-vlottend 807.060818.443972.967859.239820.005775.298301.324292.176371.3720286.59634.82635.7413.744427.01023.83316.44710.0858.1953.6540-0000
Uitgestelde belastingverplichtingen niet-vlottend 578.902565.639530.187568.644491.538444.145397.47214.373126.685124.375144.884127.27252.13680.9454.20970.38181.57661.13349.00746.38749.8829.75216.1813.26415.07800
Overige niet-vlottende verplichtingen 465.8741,282.956515.911339.181243.401263.582226.724172.94160.79628.623339.33920.998102.60330.867254.646-427.0124.0049.1898.9857.4537.424.69500.581000
Totaal niet-vlottende verplichtingen 9,746.018,937.3387,719.5196,279.3885,301.0334,851.4794,460.333,859.5021,644.6281,619.1561,655.6021,208.885633.629507.107447.599427.01531.019413.753282.81234.526192.82492.19348.57862.02870.861.8432.896
Totaal passiva 11,431.1910,471.7989,084.2317,234.5416,173.0995,350.465,023.0384,266.131,927.0231,951.8991,884.5351,383.259714.881631.887491.593512.5573.426490.567319.272273.369220.054109.00563.29972.65383.3847.2484.589
Eigen vermogen:
Preferente aandelen 184.299184.299184.299184.299184.299184.299170.024159.069154.073184.178109.457117.152000000000000000
Gewone aandelen 6,229.9946,183.9436,032.7924,935.3044,017.0443,562.4182,952.7131,467.3041,303.5291,406.9411,269.0671,251.79800728.91593.439698.51587.177563.265544.176492.156405.392297.122167.07155.20886.08651.58
Ingehouden winsten -1,279.696-997.945-288.42445.753-367.107-595.259-491.321-413.678-376.969-435.285-458.696-408.254-358.55-347.746-294.328-294.909-286.6-206.055-173.22-132.185-91.255-63.801-38.568-20.648-13.513-5.535-1.698
Overige gereserveerde algehele resultaten -102.286-160.063-71.677-22.507-9.761-19.38545.185189.664206.62929.472-29.499-105.412-94.525-99.829-46.521-17.619-44.3200000-15.328-9.454-3.835-1.2380
Overige totale aandeelhoudersvermogen 7.2549.4132.00760.72950.57945.55334.35728.757107.188123.6766.86866.729956.697796.449000.4840.4110-0-0015.3289.4543.8351.238-0
Totaal eigen vermogen van aandeelhouders 5,039.5655,219.6475,858.9975,203.5783,875.0543,177.6262,710.9581,431.1161,394.451,308.983897.196922.013503.622348.873388.061280.911368.073381.533390.045411.991400.901341.592258.554146.421141.69580.55149.882
Totaal eigen vermogen 6,942.7717,155.8157,701.6055,989.3654,738.3714,038.5083,353.611,871.4051,670.1241,592.3831,377.8751,409.416541.327348.873388.543291.222389.986408.819390.045411.991412.513350.268258.554146.421141.69580.55149.882
Totaal passiva en aandeelhoudersvermogen 18,373.96117,627.61316,785.83613,223.90610,911.479,388.9688,376.6486,137.5343,597.1473,544.2822,781.732,792.6751,256.208980.76880.136803.722963.412899.386709.317685.36632.568459.273321.853219.074225.07987.79954.471