Big Lots, Inc.

NYSE:BIG

0.4968 (USD) • At close September 6, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -481.876-210.708177.778629.191242.464156.894189.832152.828142.873114.276125.295177.121207.064222.524200.369151.547158.461124.045-10.08823.76381.17576.557-20.234-380.65296.11109.485.985.864.455.24337.120.14.5-722.6
Afschrijvingen & Amortisatie 139.177156.427143.713138.848135.686114.025106.004108.315108.054105.849102.19695.60282.85174.04171.50173.78783.10395.613114.617101.96991.63481.50968.98662.29100.4648479.248.43026.523.719.516.115.514.812.8
Uitgestelde Inkomstenbelasting 56.76-66.74219.007-52.41552.3745.35332.578-9.171-0.61722.628-32.13812.48210.45620.48518.01413.5180.457-13.641-10.483-0.826-3.84150.02-20.209-119.3210.429.72.9-18.1-10.3-2.2-0.3-3.50.30.62.7
Aandelen Gebaseerde Vergoedingen 11.61614.79939.60126.15513.05126.33527.82533.02913.47910.53413.18317.87924.99324.62820.275006.5850.8790.2160000000000000000
Verandering in Werkkapitaal -218.568-361.692-457.118-127.454-160.084-70.495-104.95627.84778.6958.57-31.512-19.033-9.833-31.55798.185-39.39355.535162.097102.122-70.031-10.7053.988124.098-103.16648.199-183.9-38.4-76.4-66.4-25.8-38.1-23.219.424.2-25.5-13.2
Vorderingen 000-185.183-185.275-5.292-15.2195.94624.35323.64723.10920.3842.831-12.80211.5280014.61110.74200000000000000000
Voorraden 194.64789.848-297.503-19.02848.295-96.772-14.1-8.7071.68763.3361.385-92.721-54.512-30.8095.27911.32610.24377.90758.924-65.447-53.359-70.9170-9.0190-186.264.3-184-86.2-49.30-40.90-1.4-18.70
Crediteuren -100.998-165.816189.06320.193-18.66245.677-49.26918.21723.345-6.864-27.46843.4631.555-7.04573.8890024.04411.69300000000000000000
Overig Werkkapitaal -312.217-285.724-348.67856.564-4.442-14.108-26.36812.39129.305-21.549-28.5389.84410.29319.0997.489-50.71945.29245.53520.763-4.58442.65474.905124.098-94.14702.3-102.7107.619.823.5017.7025.6-6.80
Overige Niet-Contante Posten 240.931323.63270.781-214.97655.4791.948-0.915-0.923-0.1276.70521.31-2.9182.945.136-16.3179.9787.4576.77815.91816.1726.6476.144-1.708232.9156.7621719.929.82.40.131.80.10.41.20.7
Kasstroom uit Operationele Activiteiten -251.96-144.286193.762399.349338.97234.06250.368311.925342.352318.562198.334281.133318.471315.257392.027211.063307.932381.477212.96571.261184.91218.218150.933-307.934251.93556.2149.569.529.459.729.434.953.844.9-15.925.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -63.139-159.413-160.804-135.22-265.203-377.024-158.351-89.782-125.989-93.46-104.786-131.273-131.293-107.563-78.708-88.735-60.36-35.878-68.503-135.291-163.718-102.057-107.561-114.847-147.236-166.6-146.5-93.6-48.1-41.6-46-40.4-18.1-7.9-32-13.7
Netto Overnames 342.67550.4961.155588.258190.7410.5191.8545.06112.7730001.8350001.3944.88300.2450000000000000000
Aankoop van Beleggingen 0000000000000000-436.04-488.0750-115.1250000000000000000
Verkoop/verval van Beleggingen 0000000000000000436.04488.0750122.6250000000000000000
Overige Investeringsactiviteiten -0.025-0.023-0.037-0.051-0.0180.5511.8435.08112.7962.7117.2910.9168.746-6.9890.7710.5430.2020.5741.801-0.21-0.2165.9386.123277.0780.3561.5-4.1-176.3-0.4-6.70.510.20.40.20.5
Kasstroom uit Investeringsactiviteiten 279.511-108.94-159.686452.987-74.48-376.473-156.508-84.701-113.193-90.749-97.495-130.357-120.712-114.552-77.937-88.192-58.764-30.421-66.702-127.756-163.934-96.119-101.438162.231-146.88-165.1-150.6-269.9-48.5-48.3-45.5-39.4-17.9-7.5-31.8-13.2
Financieringsactiviteiten:
Schuldaflossingen -0.695-2.091-50.418-3.648-73.469-3.908-4.134-4.514-4.433-17.265-95.289-1.321-18.617-2.463-344.312000000000000000000000
Uitgifte van Gewone Aandelen 000-119.299-80.409305.031120.71865.75616.48342.60600000.11211.21238.28859.0337.01512.2243.70416.08712.3532.12710.10533.318.8194.85110.60.50.30.50.2
Terugkoop van Gewone Aandelen -1.583-11.18-446.374-175.642-55.347-111.75-165.757-254.304-201.867-250.671-0.214-304.038-363.957-350.823-1.849-37.508-714.911-150.45-0.015-7500-1.138000-21.2000000000
Uitgekeerde Dividenden -9.806-36.997-41.653-46.964-48.421-50.608-44.671-38.466-38.53-27.82800000000000000000000000000
Overige Financieringsactiviteiten -13.786294.502-1.4650.052-0.157-1.494-0.0041.3241.0713.8384.307147.08576.31946.387626.968-98.933182.92920.308-154.074-52.211-0.460-62.54977.9-94.729109.85.522.7-13.23.14.70-1.3-41.338.1-1.3
Kasstroom uit Financieringsactiviteiten -25.87244.234-539.91-345.501-257.803137.271-93.848-230.204-227.276-249.32-91.196-158.274-306.255-306.899-65.13-125.229-493.694-71.109-147.074-114.9873.24416.087-51.33480.027-84.624143.13.1217.5-8.24.15.70.6-0.8-4138.6-1.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000005.139-1.595-0.468-0.496000000000000108.91.1200.419.1-11.416.14.5-35.9-37.447.7-12.4
Netto Kasstroomverandering 1.681-8.992-505.834506.8356.687-5.1420.012-2.981.883-16.3688.048-7.966-108.992-106.194248.96-2.358-244.526279.947-0.811-171.48224.22138.186-1.839-65.67620.431143.13.1217.5-8.24.15.70.6-0.8-4138.6-1.1
Kaspositie aan het Einde van de Periode 46.41144.7353.722559.55652.72146.03451.17651.16454.14452.26168.62960.58168.547177.539283.73334.77337.131281.6571.712.521191.228167.00828.82230.66196.337184.842.8230.532.22940.939.73.1-33.555.44.3