Algonquin Power & Utilities Corp.

NYSE:AQN

5.5 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -33.305-308.155185.657727.828484.9579.089104.05268.72662.3647.93248.36223.22326.7419.63659.646-15.64325.00623.98318.7618.96834.32110.2584.3128.9124.9772.076-1.698
Afschrijvingen & Amortisatie 466.996455.52402.963314.123284.304281.163261.847145.637109.26699.40893.04357.00347.0349.47645.09136.95644.03134.0630.24530.41125.68513.9926.8296.2062.4841.2150.02
Uitgestelde Inkomstenbelasting -76.56-69.356-50.66259.69553.68642.02567.82221.33426.23311.3136.226-14.378-22.859-20.156-38.0630.40415.569-3.1121.5070.982-4.3050.335-0.0970.611-0.03700
Aandelen Gebaseerde Vergoedingen 10.39710.928.39524.63711.0427.4958.4534.4013.9312.7591.8781.9660.75300000000000000
Verandering in Werkkapitaal -86.336-221.618-522.022-77.47960.303-8.126-58.8682.756-7.638-0.455-44.876-3.904-1.510.728-4.878-3.56-31.045-0.816-6.836.283-0.248-2.6984.651-0.4551.2611.6361.216
Vorderingen 3.863-124.631-56.751-52.778-20.8573.005-14.7134.9194.839-18.149-47.053-14.972-11.434-6.8120000000000000
Voorraden -2.171-45.228-43.1971.2957.957-5.838-0.465.6310.058-8.445-6.438-3.64-1.06500000000000000
Crediteuren 23.84724.395-33.39940.88563.854-22.915-18.43218.246-13.15946.775-27.51-7.5923.90900000000000000
Overig Werkkapitaal -111.875-76.154-388.675-66.8819.34917.622-25.263-26.040.624-20.63636.12522.37.0797.54000-0.816-6.836.283-0.248-2.6984.651-0.4551.2611.6360
Overige Niet-Contante Posten 346.842751.785133.135-543.587-283.025128.706-19.255-29.136-5.4425.054-11.725-0.59618.107-4.541-17.42439.05219.112.9873.106-26.413-32.434-10.773-3.944-6.45-2.075-0.3581.093
Kasstroom uit Operationele Activiteiten 628.034619.096157.466505.217611.26530.352364.052213.718188.709166.01192.90763.31368.26245.17347.50154.9571.86858.53547.94155.26344.88823.09818.57915.039.2034.5690.631
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,026.171-1,089.024-1,345.045-786.03-581.332-466.369-588.487-301.87-147.147-372.459-148.743-78.334-59.496-20.828-10.425-37.4370-53.078-27.401-28.842-18.84-8.32-1.832-0.759000
Netto Overnames 110.02-632.797-0.22-402.784-308.423319.835-1,539.847-321.925-2.67910.397-201.026-712.139-98-45.517010.142-1-20.102-24.929-12.61-65.467-47.574-48.295-8.546-57.31600
Aankoop van Beleggingen -243.742-221.281-622.32-279.188-669.832-1,005.072-65.566-258.836-99.849-21.90800-7.574-14.757-10.106-0.157-0.9590000000000
Verkoop/verval van Beleggingen 11.7492.920.2215.23311.158-00.4860.9994.918001.5536.2060-000000000000
Overige Investeringsactiviteiten 162.543151.773169.256222.866234.42814.951,592.113-1,271.53725.272-11.4062.5080.5643.88-0.4281.9084.844-25.95727.2748.29921.3331.5727.661-52.4270.678-2.399-35.504-53.722
Kasstroom uit Investeringsactiviteiten -1,095.621-1,788.409-1,798.109-1,229.903-1,324.159-1,455.333-601.788-2,153.681-223.404-390.459-347.261-789.909-159.64-45.323-18.623-22.608-27.916-45.907-44.031-20.122-52.735-48.233-102.555-8.627-59.715-35.504-53.722
Financieringsactiviteiten:
Schuldaflossingen -2,297.346-15,461.078-12,895.091-311.217-566.75-1,699.592-2,490.431-50.906-141.349-246.845-643.775-75.824-135.724-81.259-0.104-46.470-3.19-47.624-59.8670-3.111-14.26-2.503-5.866-0.051-5.467
Uitgifte van Gewone Aandelen 5.22943.546985.619820.767362.364473.911442.6511.135104.27320.41328.159205.262116.402025.3100000066.079147.70918.30668.9441.93556.127
Terugkoop van Gewone Aandelen -14.515-4.667-3.372-5.274-5.282-2.088-3.5-3.882179.299286.683892.536624.068200.54800000000-3.509-0-4.6099.543-00
Uitgekeerde Dividenden -336.891-371.97-313.336-276.012-209.64-174.411-143.617-95.636-64.511-58.018-54.223-37.882-28.506-19.342-15.687-47.457-68.076-55.671-55.158-52.714-48.121-35.058-23.431-16.509-12.751-6.0320
Overige Financieringsactiviteiten 3,080.26416,919.75213,902.678723.079376.7752,334.1172,391.4272,080.19934.924-82.276-6.674-7.9255.868103.226-41.2857.20156.08948.07379.35189.17853.993-3.619-12.223-1.16-5.88-3.8182.722
Kasstroom uit Financieringsactiviteiten 442.8081,110.2361,673.716766.859733.366931.937196.531,930.91112.632219.958216.024707.7158.5872.626-31.761-36.726-11.987-10.788-23.431-23.4045.87220.78297.795-6.47453.98732.03453.382
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.267-1.127-1.7020.5731.032-0.606-3.221-1.664.9920.5561.436-0.972-0.472-0.126-0.1780.72-1.193-0.037-0.27-0.957-0.801-0.0140.0840.057-0.0430.00953.09
Netto Kasstroomverandering -25.046-60.20431.37142.74621.4996.35-44.427-10.71382.929-3.933-36.893-19.86866.7372.35-3.061-3.664-3.1341.803-19.79110.78-2.776-4.36713.903-0.0155.1631.10953.382
Kaspositie aan het Einde van de Periode 76.139101.185161.389130.01887.27265.77343.3882.14989.6127.98812.99753.39871.3885.1452.5764.8510.46211.5529.78428.44716.37815.77719.926.3896.631.380.292