Caleres, Inc.

NYSE:CAL

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 21.35833.730.11588.29545.21830.264.04755.332118.15167.40382.54668.22347.682126.548125.83386.959.80153.66134.28879.44855.65732.12122.71250.49134.15845.550.138.735.118.916.921.618.716.322.31221.536.225.9
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 21.35833.730.11588.29545.21830.264.04755.332118.15167.40382.54668.22347.682126.548125.83386.959.80153.66134.28879.44855.65732.12122.71250.49134.15845.550.138.735.118.916.921.618.716.322.31221.536.225.9
Nettovorderingen 154.615132.802122.236126.994162.181191.722152.613153.121153.664136.646129.217128.752159.167113.93784.29784.252116.873132.224158.10397.50381.9382.48668.30564.40368.23667.877.490.286.498.1110125.298.1120.8141135.1133.5127.9126.7
Voorraad 540.674580.215596.807487.955618.406683.171569.379585.764546.745543.103547.531533.275561.797524.25456.682466.002435.682420.52414.295421.45376.21392.584396.227427.83365.989362.3380.2398.8342.3322375.5388.4359.9362.6333.3338.1324.8309.4308.9
Overige vlottende activa 72.26267.96181.86379.31256.49471.35460.7549.52856.50543.74433.13642.17846.49243.5464.16328.69224.70131.95518.98524.43815.88820.97825.03920.00819.39121.830.837.141.540109.54537.235.934.442.124.320.518
Totaal vlottende activa 788.909831.455836.476782.556882.299976.447846.789843.745875.065790.896792.549772.428815.138808.281708.249683.267637.057638.36625.671622.839529.685528.169526.91562.732487.774497.4538.5564.8505.3479611.9580.2513.9535.6531527.3504.1494479.5
Niet-vlottende activa:
Materiële vaste activa, netto 695.612679.079653.668726.74920.44230.784212.799219.196179.01149.743143.56146.089131.471135.632141.561157.451141.964138.164116.555114.39485.54884.81385.74690.60584.682.282.785.387.792.997.4124.9138.8148.2146.1146.8142.9126.8126.5
Goodwill 4.9564.9564.9564.956245.275242.531127.081127.09813.95413.95413.95439.6040000217.382216.42000000000000000000000
Immateriële activa 198.354210.436222.547235.115294.304307.366212.087216.66116.945120.63359.71993.024070.59277.2268400198.73721.47420.40518.60200000000000000000
Goodwill en immateriële activa 203.31215.392227.503240.071539.579549.897339.168343.758130.899134.58773.673132.628140.5970.59277.22684217.382216.42198.73721.47420.40518.60200000000000000000
Langetermijnbeleggingen -4.4010-14.731-8.244-9.735-9.833-2.305-2.486-1.847-6.956-1.0930-14.432-4.5030-17.681-3.01-0.618-6.577-12.37-4.638000000000000000000
Belastingvorderingen 235.1419.00114.7318.2449.7359.8332.3052.4861.8476.9561.0931.46114.4324.5032.30417.6813.010.6186.57712.374.63807.97.78.46.109.210.812.7000000000
Overige niet-vlottende activa 116.91591.545126.279117.68389.38981.4490.65968.574118.349141.586139.621118.653140.277133.538110.81103.137103.438106.11386.3387.42783.69273.76480.34279.03269.56469.573.863.157.351.962.455.152.55335.954.136.937.529.3
Totaal niet-vlottende activa 1,246.5761,005.0171,007.451,084.4941,549.408862.121642.626631.528428.258425.916356.854398.831412.338339.762331.901344.588462.784460.697401.622223.295189.645177.179173.988177.337162.564157.8156.5157.6155.8157.5159.8180191.3201.2182200.9179.8164.3155.8
Totaal activa 2,035.4851,836.4721,843.9261,867.052,431.7071,838.5681,489.4151,475.2731,303.3231,216.8121,149.4031,171.2591,227.4761,148.0431,040.151,027.8551,099.8411,099.0571,027.293846.134719.33705.348700.898740.069650.338655.2695722.4661.1636.5771.7760.2705.2736.8713728.2683.9658.3635.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 251.912229.908331.47280.501267.018316.298272.962266.37237.802215.921226.602222.742190.611167.19177.7152.339172.947185.767173.083143.982116.677129.209122.36127.887113.82124.9118.9124.7106.185105.4114.7103.19386.186.4000
Kortlopende schulden 294.764443.551418.495403.06402.869335011000710520119894.5112.5151509219.54992.876.51025546411443.1153.8108.528.660.659.972.3247.61.1
Belastingschulden 11.2227.6522.6225.0697.1866.3888.2223.5993.5196.2854.353.0695.14510.1954.16300.8951.4293.8287.4372.96000000000000000000
Uitgestelde opbrengsten 11.22200182.814000000152.54500001.82475.86970.191131.40960.83356.16052.4540000000000000000
Overige kortlopende verplichtingen 185.058237.737275.64839.134181.063202.038157.197151.225152.497181.1620.708141.367132.969146.715141.863137.30740.09977.5583.82844.743.507106.15333.83991.80493.94996.5105.275.175.891.7112.194.48596.778.585.2163.8151.8175.2
Totaal kortlopende verplichtingen 742.956911.1961,025.613905.509850.95853.336430.159527.595390.299397.083386.855469.109524.58511.905414.063403.97303.915334.516358.32341.515235.844284.362301.453296.191217.769246.4278.1263.8295.9219.8371.3317.6216.7250.3224.5243.9187.8159.4176.3
Langlopende verplichtingen:
Langetermijnschulden 453.097444.074452.909717.793827.423197.932197.472197.003196.544199.197199.01198.823198.63315015015015015015050100103.493123.491152.037162.034172197197105.5133.2135.3123144.6128.6132.4136120.4130.959.8
Uitgestelde opbrengsten niet-vlottend -11.53600-8.244-55.013403.382.404-1.57814.23812.19829.22233.71132.36134.67838.86941.71400000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 242.27519.00114.7318.24455.01349.98650.66752.70232.26827.5449.37113.86231.13611.5340011.53419.23420.3172.2111.6451.3397.8657.6788.4166.16.89.210.812.77.26.81018.71412.59.79.15.9
Overige niet-vlottende verplichtingen 41.12336.08827.28639.894104.204-301.50189.75185.06567.50239.16847.58329.85327.0524.01725.99129.95773.72871.66264.44661.10526.71319.54711.43314.19112.17413.513.915.417.321.12423.820.533.13.11111.916.4
Totaal niet-vlottende verplichtingen 724.959499.163494.926757.687931.627349.797340.294333.192310.552278.107285.186276.249289.18220.229214.86221.671235.262240.896234.763113.316128.358124.379142.789173.906182.624191.6217.7221.6133.6167166.5153.6175.1150.3149.5151.6141.1151.982.1
Totaal passiva 1,467.9151,410.3591,520.5391,663.1961,782.5771,203.133770.453860.787700.851675.19672.041745.358813.76732.134628.923625.641539.177575.412593.083454.831364.202408.741444.242470.097400.393438495.8485.4429.5386.8537.8471.2391.8400.6374395.5328.9311.3258.4
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.3550.3570.3760.380.4040.4190.430.430.4370.4370.4340.4290.420.4390.4290.4230.418162.258103.91668.40667.78766.31165.56465.47768.48668.1067.467.267.4000000000
Ingehouden winsten 410.329266.329157.9748.557523.9519.346595.769521.584468.03398.804328.191302.223286.743274.23249.251251.76396.871349.506297.549263.902232.911193.18155.028167.441141.906113.797.3133.5131.1151.8141.9201.5224.6248.8251.5247.5272263.9288.9
Overige gereserveerde algehele resultaten -34.504-26.75-8.606-9.136-31.843-31.601-15.17-30.434-5.8642.71216.6760.8849.6376.1410.177-5.78115.59811.8811.101-3.644-8.342-13.108-11.884-9.524-9.6-25.8-129.6-20.2-25.4-32.8-135.5-171.8-187.3-173.2-159.8-152.6-150.7-129.8-116.8
Overige totale aandeelhoudersvermogen 184.451180.747168.83160.446153.489145.889136.46121.537138.881138.957131.398121.593115.869134.27152.314147.702145.69031.64462.63962.77250.22447.94846.57849.15361.2231.556.358.763.3227.5259.3276.1260.6247.3237.8233.7212.9204.8
Totaal eigen vermogen van aandeelhouders 560.631420.683318.57200.247645.95634.053717.489613.117601.484540.91476.699425.129412.669415.08402.171394.104558.577523.645434.21391.303355.128296.607256.656269.972249.945217.2199.2237231.6249.7233.9289313.4336.2339332.7355347376.9
Totaal eigen vermogen 567.57426.113323.387203.854649.13635.435718.962614.486602.472541.622477.362425.901413.716415.909411.227402.214560.664523.645434.21391.303355.128296.607256.656269.972249.945217.2199.2237231.6249.7233.9289313.4336.2339332.7355347376.9
Totaal passiva en aandeelhoudersvermogen 2,035.4851,836.4721,843.9261,867.052,431.7071,838.5681,489.4151,475.2731,303.3231,216.8121,149.4031,171.2591,227.4761,148.0431,040.151,027.8551,099.8411,099.0571,027.293846.134719.33705.348700.898740.069650.338655.2695722.4661.1636.5771.7760.2705.2736.8713728.2683.9658.3635.3