Astec Industries, Inc.

NASDAQ:ASTE

37.82 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 59.866134.4158.648.85725.82162.2882.37125.06213.02335.56480.92957.50594.59740.4299.67434.63644.87822.5988.3499.73530.3416.677.0533.75.42.93.43.110.53.52.25.81.30.810.21.91.2
Kortetermijnbeleggingen 5.73.98.64.31.5471.9461.6241.0241.5391.91617.1761.334000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 65.569.9143162.950.40427.76763.90483.39526.60114.93952.7480.92957.50594.59740.4299.67434.63644.87822.5988.3499.73530.3416.677.0533.75.42.93.43.110.53.52.25.81.30.810.21.91.2
Nettovorderingen 167.3167.1144.1120.6124.103133.979119.952110.673101.997107.30194.78989.048102.0680.86368.10475.16187.48766.67353.39545.28946.01876.44868.49983.1681.352.438.834.627.730.119.112.712.313.729.224.922.823.14.8
Voorraad 455.6393.4303249.7278.863355.944391.379360.404384.776387.835342.313308.622299.065252.981248.548285.817210.819157.835135.503126.97110.234120.238128.996126.308104.876.769.456.855.956.3404040.946.464.563.149.153.517
Overige vlottende activa 27.76651.632.659.60343.30227.7340.3641.9027.1664.0092.6893.0361.7162.2891.6670.5050.2190.0620.6850.0257.0637.90115.47313.610.47.59.59.95.213.912.9928.91.72.11.83.71
Totaal vlottende activa 719.5696.4641.7565.8512.973560.991602.969576.833544.997553.191522.411499.866485.554447.821384.365395.099348.732283.018226.028198.484184.152249.875225.261231.994203.4144.9118.6104.396.6102.176.567.86890.396.291.173.982.224
Niet-vlottende activa:
Materiële vaste activa, netto 187.6173.6171.7172.8182.404192.448190.396180.538170.206187.61184.52182.839188.018168.242172.057169.13141.528113.91496.11496.526105.182125.799123.394126.928109.481.161.654.351.742.323.717.920.320.429.5292220.47.8
Goodwill 46.345.238.638.733.17632.74845.73240.80430.83531.99515.05715.01114.98913.90713.90729.65926.41619.38419,361.03519,125.5720,887.08436,093.27736.11537,207.924000000000000000
Immateriële activa 16.422.522.731.223.53625.3730.95226.64313.57717.2726.5437.82500000019.36119.12620.88736.093037.20836.312.58.25.34.18.421.71.81.41.60.30.40.30.3
Goodwill en immateriële activa 62.767.761.369.956.71258.11876.68467.44744.41249.26715.05715.01114.98913.90713.90729.65926.41619.38419.36119.12620.88736.09336.11537.20836.312.58.25.34.18.421.71.81.41.60.30.40.30.3
Langetermijnbeleggingen 13.815.112.213.716.10414.8914.55313.96511.5411.39312.08510.2329.73911.67211.9659.91218,528.745-7,879.738-7,212.932-8,498.317-8,904.801-9,721.492-8,929.188-7,824.451000000000000000
Belastingvorderingen 37.532.1161524.69627.492.5762.6766.19514.81714.9249.98516.85610.33912.06710,700.7678,864.1817,879.7387,212.9328,498.3178,904.8019,721.4928,929.1887,824.451000000000000000
Overige niet-vlottende activa 38.229.58.4116.8751.522.4012.1423.203-10.8130.2946.6321.727-2.342-3.46-10,691.753-27,367.0325.5475.07910.68210.7354.73515.9216.1776.310.73.8423.20.80.50.90.30.90.81.70.70.7
Totaal niet-vlottende activa 339.8318269.6282.4286.791294.466286.61266.768235.556252.274226.88224.699231.329201.818206.536217.713193.838138.845120.554126.334136.804166.628175.43170.312152104.373.663.657.853.926.520.12322.13230.124.121.48.8
Totaal activa 1,059.31,014.4911.3848.2799.764855.457889.579843.601780.553805.465749.291724.565716.883649.639590.901612.812542.57421.863346.583324.818320.956416.503400.691402.306355.4249.2192.2167.9154.415610387.991112.4128.2121.298103.632.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 116.9107.283.552.755.05570.61460.41757.29748.38560.98745.84546.2155.1744.49336.38851.05354.8442.56139.77535.45128.95633.6826.24635.58536.427.421.414.615.914.310.29.19.31317.10000
Kortlopende schulden 11.19.62.71.61.3390.4132.4697.174.5283.841-37.49823.07214.27814.72916.7073.427-37,699.873-22,445.756-12,027.23811.82736.6853.222.3681.9860.60.60.52.10.88.603.14.98.85.54.912.514.312.9
Belastingschulden 015.919.58.815.23424.45912.55600017.15623.0720000000006,839.0987,640.153,893.629000000000000000
Uitgestelde opbrengsten 70.269.560.234.242.87448.06949.38139.10240.08245.08637.49844.22442.28735.60226.60641,385.51237,751.17422,485.57912,063.44810,414.7029,910.4436,338.5338,343.7146,463.715000000000000000
Overige kortlopende verplichtingen 100.887.778.981.873.6670.13566.87965.29249.01751.21587.68630.86342.28735.60226.606-41,296.15637.75122.48612.063-10,369.984-9,872.933-6,298.781-8,308.935-6,425.02938.83525.317.721.926.225.521.922.618.713.433.425.235.310.7
Totaal kortlopende verplichtingen 299274225.3170.3172.928189.231179.146168.861142.012161.129133.531144.369154.022130.426106.307143.836143.893104.86988.04891.996103.15176.65163.39476.25875.86347.234.438.649.135.734.136.840.53638.337.749.623.6
Langlopende verplichtingen:
Langetermijnschulden 7278.10.20.40.6959.7091.5754.1165.1547.0610.510000000025.85738.696130.645127.285118.511102.747.235.230.517.216.2022.729.450.353.640.423.521.13.8
Uitgestelde opbrengsten niet-vlottend 02.1-1.4-0.5-0.896-1.02-3.084-5.785-7.502-23.897-0.510000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.12.11.40.50.8961.021.5091.6692.34816.83617.45514.86815.98312.65314.97513.0658.3616.3324.6517.4322.8959.2219.0397.9335.53.93.22.82.40000000.30.70.50.3
Overige niet-vlottende verplichtingen 33.531.23134.524.4921.22723.66825.89925.48344.98417.79417.3317.69513.75417.35915.87812.84313.79610.5517.7018.2076.0943.2784.5334.12.410.80.30.33.23.53.54.45.24.84.74.70.3
Totaal niet-vlottende verplichtingen 106.6113.531.234.925.1880.93623.66825.89925.48344.98435.24932.19833.67826.40732.33428.94221.20420.12815.20140.99149.798145.959139.601130.977112.353.539.434.119.916.53.226.232.954.758.845.528.926.34.4
Totaal passiva 405.6387.5256.5205.2198.108270.167202.814194.76167.495206.113168.78176.567187.7156.833138.641172.779165.097124.998103.249132.987152.95222.611202.995207.235188.1116.586.668.558.565.638.960.369.795.294.883.866.675.928
Eigen vermogen:
Preferente aandelen 000000.711.0931.0114.9864.1863.6351.6440.6060.5980.357000000000000000000000000
Gewone aandelen 4.54.54.54.54.514.5034.6144.6094.5984.5864.5724.564.5424.5294.514.5024.464.3394.2353.9983.9483.9353.9213.8643.800000000000000
Ingehouden winsten 549.4527.8552.8545.2508.343495.245565.33536.771490.933470.537445.254410.338392.937353.019320.589317.521254.393197.661158.073129.979110.926139.846144.521142.529116.284.560.146.341.937.413.94.6-1.4-5.510.814.88.85.24
Overige gereserveerde algehele resultaten -38.1-40.1-32.4-33.5-31.803-33.883-24.243-31.562-23.564-12.915-4.8940.5020.8418.0464.551-2.7993.4810.4050.711.323-0.345-2.897-2.776-0.210.3-37.1-31.7-27.1-23-3.7-20.1-17.7-15.5-12.9-12.7-9.2-7-5.2-4.2
Overige totale aandeelhoudersvermogen 137.6134.7129.9126.8120.606118.715139.971138.012136.105132.958131.944130.954130.257126.614122.253120.002114.25693.7679.72355.95652.98952.54751.68148.4414785.377.280.27756.770.340.738.235.635.331.829.627.75
Totaal eigen vermogen van aandeelhouders 653.4626.9654.8643601.656585.29686.765648.841613.058599.352580.511547.998529.183492.806452.26439.226376.589296.166242.742191.256167.517193.432197.347194.623167.3132.7105.699.495.990.464.127.621.317.233.437.431.427.74.8
Totaal eigen vermogen 653.7626.9655.3643.5602.194586687.858649.852614.844603.538584.146549.642529.789493.404452.617440.034377.473296.865243.334191.831168.007193.892197.696195.071167.3132.7105.699.495.990.464.127.621.317.233.437.431.427.74.8
Totaal passiva en aandeelhoudersvermogen 1,059.31,014.4911.3848.2799.764855.457889.579843.601780.553805.465749.291724.565716.883649.639590.901612.812542.57421.863346.583324.818320.956416.503400.691402.306355.4249.2192.2167.9154.415610387.991112.4128.2121.298103.632.8