Bassett Furniture Industries, Incorporated

NASDAQ:BSET

14.81 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 52.40761.62534.37445.79919.68733.46853.94935.14436.26826.67312.73345.56669.60111.07123.2213.7773.5386.0517.1094.02215.1811.3715.3473.2595.75.529.657.351.342.35350.244.631.245.268.952.864.165.6
Kortetermijnbeleggingen 17.77517.71517.71517.71517.43622.64323.12523.12523.12523.12528.12502.9390000000108.71400008.90000000000000
Liquide middelen en kortetermijnbeleggingen 70.18279.3452.08963.51437.12356.11177.07458.26959.39349.79840.85845.56672.5411.07123.2213.7773.5386.0517.1094.02215.1811.3715.3473.2595.75.529.657.351.342.35350.244.631.245.268.952.864.165.6
Nettovorderingen 16.3120.19120.56732.00621.37819.05519.6418.35821.19715.22816.0815.75514.75631.62134.60535.59538.61238.25337.06940.50739.2344.80651.48770.30964.759.257.365.468.671.97574.467.760.973.274.476.766.365.7
Voorraad 62.98285.47778.00454.88666.30264.19254.47653.21559.89657.27253.06957.91645.12941.8133.38843.84450.5548.8848.88747.28536.45443.44932.24450.20150.247.341.767.181.280.169.864.654.958.960.36665.661.656.1
Overige vlottende activa 8.4811.48729.62410.27211.9839.1898.19210.7276.79813.06416.36713.2717.7786.96913.31213.62818.42212.589.99910.863-6,337.66113.349.52413.10615.731.671.94.93.84.33.83.534.43233.62.52.82.31.8
Totaal vlottende activa 157.954196.495180.284160.678136.786148.547159.382140.569147.284135.362126.374132.508140.20391.471104.52696.844111.122105.764103.064102.677100.697102.96698.602136.875136.3143.6200.5194.7204.9198.6201.6192.7201.6183212.3211.8197.9194.3189.2
Niet-vlottende activa:
Materiële vaste activa, netto 184.869176.473208.214207.82101.724104.863103.244104.65596.10474.81264.27156.62449.94646.2579.42957.15553.22558.92564.32540.24350.68190.54290.40793.97293.256.443.556.453.154.653.456.356.356.95858.358.754.358.4
Goodwill 7.21712.77212.14612.14614.11716.04311.911.58811.5881.731.7311.731000000000000000000000000000
Immateriële activa 8.858.95511.30211.68112.05912.4375.4515.7726.094000000000000000000000000000000
Goodwill en immateriële activa 16.06721.72723.44823.82726.17628.4817.35117.3617.6821.731.7311.731000-35.832-76.924-85.008-82.078000-71.80-91.8-104.10000000000000
Langetermijnbeleggingen 000001.6551.7582.8573.0087.9158.25412.73617.06315.11114.93135.0676.92478.61776.8900071.88590.6103.50000000000000
Belastingvorderingen 4.6455.5283.1894.5875.7443.2668.3938.07113.4719.70110.73410.4840000.7729.9026.3915.18803,9203.4546.52801.20.60000000000000
Overige niet-vlottende activa 6.8896.056.5255.6375.3364.833.624.7554.99411.22614.48513.09715.96244.48517.34389.826136.454145.248141.267154.446-3,790.99893.918105.86630.833113.3121.576.384.188.787.375.769.633.431.234.531.130.328.418.1
Totaal niet-vlottende activa 212.47209.778241.376241.871138.98143.094134.366137.698135.259105.38499.47594.67282.971105.846111.703146.981199.581204.173205.592194.689179.683187.914202.801209.805206.5177.9119.8140.5141.8141.9129.1125.989.788.192.589.48982.776.5
Totaal activa 370.424406.273421.66402.549275.766291.641293.748278.267282.543240.746225.849227.18223.174197.317216.229243.825310.703309.937308.656297.366280.38290.88301.403346.68342.8321.5320.3335.2346.7340.5330.7318.6291.3271.1304.8301.2286.9277265.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 16.33820.35923.98823.42623.67727.40721.7621.28120.91622.25119.89222.40518.82124.89314.71118.74726.10416.92719.42119.94815.12717.73815.0120.3130.120.221.720.529.729.826.427.622.415.319.30000
Kortlopende schulden 19.07319.10120.48954.15600.2923.4053.295.2730.316-18.10700.2029.5214.393-5.9130.6720.622000000000000000000000.3
Belastingschulden 02.35309.6660000008.1870000000002,291.578000000000000000000
Uitgestelde opbrengsten 22.78835.96351.49239.76225.34127.15727.10725.18123.99922.20216.21412.2539.23818.2465.9466.7258.8948.317.5250-3,158.841000000000000000000
Overige kortlopende verplichtingen 42.47959.01489.742-8.63923.25354.1258.19127.26153.66122.0046.86917.92223.56627.41718.2217.26129.81826.01128.92718.601-2,269.83716.40618.2521.58326.824.526.29.85.75.26.89.36.64.816.333.5282827
Totaal kortlopende verplichtingen 77.89100.827134.219118.37172.27181.81983.35677.01379.8566.77351.44152.5851.82761.83143.2743.54556.59443.5648.34838.54937.46834.14433.2641.89356.944.747.930.335.43533.236.92920.135.633.5282827.3
Langlopende verplichtingen:
Langetermijnschulden 97.35797.83795.433111.972000.3293.8218.51.9022.4673.0533.6624.29531.95340.34628.8523.52219.05415.604037.482451800000000000000.5
Uitgestelde opbrengsten niet-vlottend -22.4090-39.883-11.13300-6.993-6.608-4.364000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 32.61632.44839.88311.1336.097.1316.9936.6084.3640000000000000001.20.602.52.10.800005.30000
Overige niet-vlottende verplichtingen -20.881229.27614.17624.82512.38211.6116.72812.46315.23914.53214.26715.2524.88630.67229.75530.40726.98921.04122.00122.89424.09326.18910.64710.911.311.210.910.39.58.67.97.26.71.30-0.10-0.1
Totaal niet-vlottende verplichtingen 109.093109.837124.709126.14824.82519.51318.93220.54925.32717.14116.99917.3218.91229.18162.62570.10159.25750.51140.09537.60522.89427.09333.67155.64730.111.911.213.412.410.38.67.97.26.76.60-0.100.4
Totaal passiva 186.983210.664258.928244.51997.096101.332102.28897.562105.17783.91468.4469.970.73991.012105.895113.646115.85194.07188.44376.15460.36261.23766.93197.548756.659.143.747.845.341.844.836.226.842.233.527.92827.7
Eigen vermogen:
Preferente aandelen 000000000001.223000000000000000000000000000
Gewone aandelen 43.84244.75948.81149.71450.58152.63853.6953.61554.5852.46754.29754.18456.71257.79557.27457.10259.03359.01859.02258.685858.30358.63658.82460.564.40000000000000
Ingehouden winsten 139.354150.8115.631109.71129.13140.009139.378129.388120.904106.339104.526104.31996.33148.45950.46173.16131.725151.535156.471158.341159.487169.789173.011185.293188193.1188.8222.4225.7221.9216.2216.1250.8238.7243.3240.8233.3219.8210.4
Overige gereserveerde algehele resultaten 0.1520.05-1.823-1.394-1.236-2.338-2.57-2.553-2.678-1.974-1.414-1.223-0.608-0.4272.118-0.4291.9143.322.6522.8182.5311.5512.8255.0237.37.4-124.5-162.1-158.7-152.7-149-142-137.8-130.5-127.7-124.1-117.8-108.8-102.9
Overige totale aandeelhoudersvermogen 0.09300.11300.19500.9620.2554.5600000.4780.4810.3462.182.4392.0681.373000000196.9231.2231.9226221.7199.7142.1136.1147151143.5138130.5
Totaal eigen vermogen van aandeelhouders 183.441195.609162.732158.03178.67190.309191.46180.705177.366156.832157.409157.28152.435106.305110.334130.179194.852215.866220.213221.212220.018229.643234.472249.14255.8264.9261.2291.5298.9295.2288.9273.8255.1244.3262.6267.7259249238
Totaal eigen vermogen 183.441195.609162.732158.03178.67190.309191.46180.705177.366156.832157.409157.28152.435106.305110.334130.179194.852215.866220.213221.212220.018229.643234.472249.14255.8264.9261.2291.5298.9295.2288.9273.8255.1244.3262.6267.7259249238
Totaal passiva en aandeelhoudersvermogen 370.424406.273421.66402.549275.766291.641293.748278.267282.543240.746225.849227.18223.174197.317216.229243.825310.703309.937308.656297.366280.38290.88301.403346.68342.8321.5320.3335.2346.7340.5330.7318.6291.3271.1304.8301.2286.9277265.7