Boyd Gaming Corporation

NYSE:BYD

73.55 (USD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 307.93283.472344.557519.182249.977249.417203.104193.862158.821145.341177.838192.828178.756145.62393.20298.152165.701169.397188.406160.72388.213191.3877.11588.05986.275.978.34983.267
Kortetermijnbeleggingen 0.70.70.60.60.60.50.50.40.40.40.30.30-48.1680000000000000000
Liquide middelen en kortetermijnbeleggingen 308.63283.472344.557519.182249.977249.417203.104193.862158.821145.341177.838192.828178.756145.62393.20298.152165.701169.397188.406160.72388.213191.3877.11588.05986.275.978.34983.267
Nettovorderingen 141.4111.61189.48353.46460.46460.14445.50732.81526.66928.47866.71261.75361.85753.19139.39136.4941.57134.56129.0245.26722.32322.95320.43914.32617.633.119.4161611.3
Voorraad 20.69222.17320.0922.61622.10120.5918.00418.56815.46215.16119.71918.61817.49316.02911.39211.32511.26911.03714.40212.5974.4324.5024.6036.26.29.69.96.56.66.5
Overige vlottende activa 58.59360.97253.67355.01566.95269.662.04862.70256.2852.9770.41179.88184.78865.03348.75268.481120.587159.683586.43843.46844.66345.10528.73119.98632.623.117.115.313.620.3
Totaal vlottende activa 529.315478.228507.803650.277399.494399.751328.663307.947257.232241.95334.68355.593342.894279.639192.737214.448339.128374.678288.161262.055159.631263.94130.888128.571142.6141.7124.786.8119.4105.1
Niet-vlottende activa:
Materiële vaste activa, netto 3,335.8473,224.5813,278.4253,454.7013,608.7232,716.0642,539.7862,605.1692,225.3422,286.1083,505.6133,624.9883,542.1083,383.3713,159.1773,249.2542,716.0362,129.4452,734.4852,277.067958.816958.603980.4959.966901763.2771.2797.6765.8656.9
Goodwill 947.3411,033.744971.287971.2871,083.2871,062.102888.224826.476685.31685.31685.31694.929213.576213.576213.576213.576404.206404.206404.206404.2060000000000
Immateriële activa 1,392.8441,427.1351,368.421,382.1731,466.8911,466.67842.946881.954890.054934.2491,070.661,119.638574.018539.714422.126422.163538.095506.75911.044936.557449.51449.51457.984345.304354.7202.620810.510.611
Goodwill en immateriële activa 2,340.1852,460.8792,339.7072,353.462,550.1782,528.7721,731.171,708.431,575.3641,619.5591,755.971,814.567787.594753.29635.702635.739942.301910.956911.044936.557449.51449.51457.984345.304354.7202.620810.510.611
Langetermijnbeleggingen 12.613-264.912-131.052-162.69515.817.8-83.98244.621222.71776.94421.38221.36753.353394.22419394386389-4.711-9.033187.513152.2230000000
Belastingvorderingen 249.859318.609264.912131.052162.6955.4755.18383.98162.1891.9197.2657.62321.578.1497.7662.9035.259-3862.6834.7119.0337.7317.6440000000
Overige niet-vlottende activa 55.179-184.1798.234100.5191.7590.47763.32849.205-113.848106.67161.259508.041,167.5211,211.48770.35584.08390.872486.2299.598443.353305.0445.69325.774143.77345.738.848.558.553.763.3
Totaal niet-vlottende activa 5,993.675,832.8995,716.3665,908.6716,250.6515,356.5884,357.2674,362.8044,093.6684,236.9745,407.0515,976.65,540.165,409.654,267.224,390.9794,148.4683,526.6214,136.813,656.9771,713.3661,649.051,624.0251,449.0431,301.41,004.61,027.7866.6830.1731.2
Totaal activa 6,522.9856,311.1276,224.1696,558.9486,650.1455,756.3394,685.934,670.7514,350.94,478.9245,741.7316,332.1935,883.0545,689.2894,459.9574,605.4274,487.5963,901.2994,424.9713,919.0321,872.9971,912.991,754.9131,577.6141,4441,146.31,152.4953.4949.5836.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 124.668129.946102.03196.86391.003111.172106.32384.08675.80385.08975.47891.2198.01549.54639.12750.12874.07377.53292.53769.93535.71435.02435.30238.5436.53132.128.530.847.250.4
Kortlopende schulden 143.142133.051126.557121.218114.6817.47618.34930.33629.7529.75333.559286.68343.2325.6947.5270.6160.6295.555.7295.6821.4631.4872.4552.4851.721.8436.321.3
Belastingschulden 000.393000.1730.021003.0872.8798.1295.636.5040000000000000000
Uitgestelde opbrengsten 15.511318.60915.3216.03722.85421.68718.92200000224.498292.610183.691233.215222.399213.405197.35156.247139.015124.2220000000
Overige kortlopende verplichtingen 328.512323.137312.741289.904328.356312.488236.224251.082249.518239.266341.947364.542325.145530.475208.705302.579305.43248.908341.56246.687163.124141.025129.326115.99298.66983.6826145.859.1
Totaal kortlopende verplichtingen 596.322586.134557.042524.022556.893469.701385.471365.504355.071357.195453.863750.564472.02610.905295.359353.323380.132331.99439.826322.304200.301177.536167.083157.017136.9117.7112.395.8129.3130.8
Langlopende verplichtingen:
Langetermijnschulden 3,582.614,522.0144,621.8695,564.3935,419.5073,955.1193,051.8993,199.1193,239.7993,431.6384,352.9324,827.8533,494.6083,193.0652,576.9112,647.0582,265.9292,133.0162,552.7952,304.3431,097.5891,227.3241,143.3581,016.813982.149774.9842.9590.8588525.6
Uitgestelde opbrengsten niet-vlottend 711.3870003.84-3,919.3413.4473.3073.08528.65142.18843.45745.59844.8130000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 538.685318.609264.912131.052162.695121.26286.65783.98162.189142.263155.218139.943379.958362.174367.862313.743365.37301.639334.346348.615133.85499.56990.73574.00657.926.4033.529.615.5
Overige niet-vlottende verplichtingen 350.092-387.646-493.488-653.41-754.19264.51664.67688.02285.8353.201129.281146.706264.17383.58996.159147.78190.75924.702000000000.1000
Totaal niet-vlottende verplichtingen 4,182.5614,134.3684,128.3814,910.9834,828.014,140.8973,203.2323,371.1213,487.8183,683.6424,637.4315,114.5024,036.9553,683.6413,008.2293,108.5822,722.0582,459.3572,887.1412,652.9581,231.4431,326.8931,234.0931,090.8191,040.1801.3843624.3617.6541.1
Totaal passiva 4,778.8834,720.5024,685.4235,435.0055,384.9034,610.5983,588.7033,736.6253,842.8894,040.8375,091.2945,865.0664,508.9754,294.5463,303.5883,461.9053,102.192,791.3473,326.9672,975.2621,431.7441,504.4291,401.1761,247.8361,177919955.3720.1746.9671.9
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 0.9681.0281.1131.1181.1151.1181.1261.1291.1171.0931.0820.8690.8630.8620.8610.8780.8770.8710.8930.8750.650.6480.6240.6220.600000
Ingehouden winsten 1,744.2321,285.827710.088246.242380.942253.357164.425-19.878-437.881-485.115-432.074-351.81557.055560.909550.599546.358795.693544.08473.964370.089283.352252.098212.086187.136124.486.157.5130.110265.7
Overige gereserveerde algehele resultaten -1.098-1.382-0.180.15-0.53-1.065-0.182-0.615-0.316-0.053-1.517-0.9620-7.594-18.126-20.018-10.9153.7033.295-1.917-4.872-7.532-1.73-548.148-482.7-455.80-334.4-286.3-239.6
Overige totale aandeelhoudersvermogen 0305.152827.725876.433883.715892.331931.858953.44945.041922.112902.496655.694644.174635.028623.035616.304599.751561.298619.852574.723162.123163.347142.757690.168624.686596.4139.6437.6386.9338.3
Totaal eigen vermogen van aandeelhouders 1,744.1021,590.6251,538.7461,123.9431,265.2421,145.7411,097.227934.076507.961438.037469.987303.7911,202.0921,189.2051,156.3691,143.5221,385.4061,109.9521,098.004943.77441.253408.561353.737329.778267227.3197.1233.3202.6164.4
Totaal eigen vermogen 1,744.1021,590.6251,538.7461,123.9431,265.2421,145.7411,097.227934.126508.011438.087650.437467.1271,374.0791,394.7431,156.3691,143.5221,385.4061,109.9521,098.004943.77441.253408.561353.737329.778267227.3197.1233.3202.6164.4
Totaal passiva en aandeelhoudersvermogen 6,522.9856,311.1276,224.1696,558.9486,650.1455,756.3394,685.934,670.7514,350.94,478.9245,741.7316,332.1935,883.0545,689.2894,459.9574,605.4274,487.5963,901.2994,424.9713,919.0321,872.9971,912.991,754.9131,577.6141,4441,146.31,152.4953.4949.5836.3