Build-A-Bear Workshop, Inc.

NYSE:BBW

37.76 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 44.32742.19832.84534.8426.72617.89430.44532.48345.19665.38944.66545.17146.36758.75560.3994766.26153.10990.9567.32720.60115.8667.098
Kortetermijnbeleggingen 000000001.4581.1210000000000000
Liquide middelen en kortetermijnbeleggingen 44.32742.19832.84534.8426.72617.89430.44532.48345.19665.38944.66545.17146.36758.75560.3994766.26153.10990.9567.32720.60115.8667.098
Nettovorderingen 8.56915.37413.3168.29511.52610.58813.30212.93913.34611.46114.5429.4287.8787.9235.3378.2887.0687.3896.6293.7921.6781.6650
Voorraad 63.49970.48573.60946.94753.38158.35653.13651.88553.87751.93950.24846.90451.8646.47544.38450.58648.63850.90540.15730.79122.57321.570
Overige vlottende activa 11.37719.37412.85210.1117.11712.9613.34612.73716.31215.61111.54714.21618.27325.8925.63519.9918.2314.19310.0718.0457.2623.6030
Totaal vlottende activa 127.772147.431132.622100.19398.7599.798110.229110.044128.731145.778121.755116.706124.378139.601135.273125.864140.197125.596147.807109.95552.11342.7047.098
Niet-vlottende activa:
Materiële vaste activa, netto 128.705122.55126.637157.798191.99966.36877.75174.92467.74162.76670.16371.45977.44588.029101.044123.193139.841130.34789.97375.81556.35848.0710
Goodwill 00000000000032.30632.40733.7830.4842.8436.92700000
Immateriële activa 000000.7310.9951.7211.7380.3040.5680.6330.6551.4443.6013.9034.0162.8731.4541.4111.591.4170
Goodwill en immateriële activa 000000.7310.9951.7211.7380.3040.5680.63332.96133.85137.38134.38346.85639.81.4541.4111.591.4170
Langetermijnbeleggingen 000000000-1.378-0.753-0.987-0.419-7.465-6.306-3.839-3.606-2.388-3.232-2.725000
Belastingvorderingen 8.6826.5927.61335.6693.4113.0996.3818.25617.4511.3780.7530.9870.4197.4656.3063.8393.6062.3883.2322.725000
Overige niet-vlottende activa 7.1654.2212.077-32.2883.2022.052.6334.654.263.2062.1563.3046.78713.99911.76616.71212.6374.0276.8742.0561.9021.5010
Totaal niet-vlottende activa 144.552133.363136.327161.179198.61272.24887.7689.55191.1966.27672.88775.396117.193135.879150.191174.288199.334174.17498.30179.28259.85150.990
Totaal activa 272.324280.794268.949261.372297.362172.046197.989199.595219.921212.054194.642192.102241.571275.48285.464300.152339.531299.77246.108189.237111.96493.69345.572
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 16.1710.28625.26417.78415.6822.55118.94227.86142.55138.10734.97738.98441.03236.26932.81937.54745.04446.76134.99625.76722.18717.7040
Kortlopende schulden 25.96127.43624.45532.40230.912000000-19.27912.12815.22811.18512.59315.43916.301-7.07311.891000
Belastingschulden 4.0497.9792.7622.3732.4371.3615.6475.6866.9448.8356.20606.4740000000000
Uitgestelde opbrengsten 21.64826.07124.74521.47422.83623.57935.73239.09938.02436.92238.47335.6495.2856.6798.5827.6348.7086.45422.8652.075000
Overige kortlopende verplichtingen 19.95437.35825.54320.32616.53610.04715.18915.89719.28624.05816.3830.84928.32328.8829.30129.2134.56728.12830.37322.22222.20120.1870
Totaal kortlopende verplichtingen 83.733101.151100.00791.98685.96456.17769.86382.85799.86199.08789.8386.20386.76887.05681.88786.984103.75897.64481.16161.95544.38937.8910
Langlopende verplichtingen:
Langetermijnschulden 57.60959.0873.307101.462119.625-6.456-3.672-7.35912.15600000000-2.297-2.3060000
Uitgestelde opbrengsten niet-vlottend -25.690.5290.7340.921.3251.6251.2080.5650.7280.9450.9051.17725.30330.34836.7872.0332.5112.2972.3060000
Uitgestelde belastingverplichtingen niet-vlottend 24.36923.8127.49235.66939.0786.4563.6727.3596.587000000000.4591.0112.5395.3123.3670
Overige niet-vlottende verplichtingen 1.321-22.893-26.274-34.346-37.36119.9319.60317.0611.17514.39719.51721.5850.2570.3612.00743.4139.65437.40333.57929.23340.72436.9040
Totaal niet-vlottende verplichtingen 57.60960.52675.259103.705122.66721.55520.81117.62620.64615.34220.42222.76225.5630.70938.79445.44342.16537.86234.5931.77246.03640.2710
Totaal passiva 141.342161.677175.266195.691208.63177.73290.674100.483120.507114.429110.252108.965112.328117.765120.681132.427145.923135.506115.75193.72790.42578.16235.514
Eigen vermogen:
Preferente aandelen 000000000000000000000.0950.0950
Gewone aandelen 0.1430.1480.1620.1590.1520.150.1550.1590.1580.1740.1740.1740.1740.1960.2050.1950.2070.2050.2010.1960.0050.0050
Ingehouden winsten 75.27261.37530.5015.31529.92537.09449.7643.67964.13236.78722.42524.53773.83490.89690.792103.26398.69976.1946.719.38612.3436.3340
Overige gereserveerde algehele resultaten -12.082-12.274-12.47-12.615-12.079-12.018-11.562-12.727-9.971-8.698-7.303-7.683-10.165-9.959-6.336-12.5856.314-0.997-1.803-1.78-1.821-1.7280
Overige totale aandeelhoudersvermogen 66.32969.86875.4972.82270.73369.08868.96268.00145.09569.36269.09466.10965.476.58280.12276.85288.38888.86685.25977.70810.91810.8210.058
Totaal eigen vermogen van aandeelhouders 129.662119.11793.68365.68188.73194.314107.31599.11299.41497.62584.3983.137129.243157.715164.783167.725193.608164.264130.35795.5121.5415.52610.058
Totaal eigen vermogen 129.662119.11793.68365.68188.73194.314107.31599.11299.41497.62584.3983.137129.243157.715164.783167.725193.608164.264130.35795.5121.5415.53110.058
Totaal passiva en aandeelhoudersvermogen 272.324280.794268.949261.372297.362172.046197.989199.595219.921212.054194.642192.102241.571275.48285.464300.152339.531299.77246.108189.237111.96493.69345.572