Casey's General Stores, Inc.

NASDAQ:CASY

381.08 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 501.972446.691339.79312.9263.846203.886317.903177.485225.982180.628134.514110.625116.79194.623116.96285.74485.00463.54262.9436.75336.46639.53631.74535.00139.44840.233.52726.822.916.613.311.598.4
Afschrijvingen & Amortisatie 349.797313.131303.541265.195251.174244.387220.97197.629170.937156.43131.457112.01896.89983.34373.74969.21467.87864.37759.05653.18249.50647.29944.70241.49238.20833.930.426.924.722.218.615.913.712.210.6
Uitgestelde Inkomstenbelasting 53.25223.12682.7214.12349.8145.337-98.17845.1955.49244.71122.28336.5354.58960.86118.17116.080.235-0.406-2.112.8812.28811.08512.136666.55.46.6822.12.72.22.22.7
Aandelen Gebaseerde Vergoedingen 41.37947.02437.97631.98618.12916.4118.810.6977.4137.3075.64.273.7922.0662.0311.2560.5260.52600000000000000000
Verandering in Werkkapitaal -73.47143.31923.387178.601-82.1419.21-41.97925.9746.75-46.1419.25120.02622.5429.972.66-7.13618.998-19.36527.25833.005-2.612.724-8.204-6.88122.362-8.86.36-13.41.413.6-1.56.17.64
Vorderingen -31.246-12.519-33,025-26.27813.4487.189-1.801-15.543-5.0923.232-4.9410.8-1.546-8.043-1.2235.774-2.4-2.4-2.191-1.73000000000000000
Voorraden -51.78524.09-76.73-50.34237.713-29.648-38.4064.4-7.3910.365-13.696-16.222-8.647-26.527-15.88617.975-14.801-10.437-20.8632.503-12.636-2.511-8.726-10.4095.841-8-2.7-4.1-5.1-3.62-3.8-1.6-0.2-0.9
Crediteuren -8.731-9.483165.893166.546-140.15112.45114.75140.3323.011-33.2917.89421.748-4.5170.34129.898-47.907-11.746-11.74645.48117.252000000000000000
Overig Werkkapitaal 18.29141.23132,959.22488.6756.8529.218-16.523-3.21516.221-26.44719.99413.737.245-25.801-10.12917.02247.9455.2184.83114.9810.0265.2350.5223.52816.521-0.8910.1-8.3511.62.37.77.84.9
Overige Niet-Contante Posten 852.7598.661.32611.2833.4951.3842.2812.298-1.865-1.2541.0552.8590.26610.580.4954.7093.3473.453.655-3.5070.8053.272.7112.3842.9642.631.21.911.8-0.10.10.10.1
Kasstroom uit Operationele Activiteiten 892.953881.951788.741804.088504.314530.614419.797459.273464.709341.682314.16286.328294.879261.443214.068169.867175.988112.124148.327132.18497.902103.91483.0977.996108.98274.478.667.74849.552.730.333.631.125.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -522.004-476.568-326.475-441.252-438.977-394.699-577.421-433.392-392.839-360.734-308.633-305.301-240.874-214.573-129.233-147.407-89.315-87.704-99.913-95.447-72.597-62.736-97.569-81.556-102.836-97.7-85.3-66.7-60.4-52.6-62.9-49.4-34.8-22.7-32
Netto Overnames -303.352-85.569-901.638-9.356-32.706-68.2-37.16-25.473-7.263-41.157-31.584-29.527-39.444-113.567-45.6880-66.729-66.729-4.5360000000000000000
Aankoop van Beleggingen 00000000000000000000000-34.19-2.746-15.5-7.5-11.8-17.30-7.2-58.7-3.6-2.2-2.7
Verkoop/verval van Beleggingen 0000000000000000000000.0117.86224.08710.237.710.320.361417.535.82.52.62.4
Overige Investeringsactiviteiten 26.6817.10370.1186.2685.0415.0695.2464.145.1342.7483.3283.5442.1962.6271.7693.269.9523.9789.3793.3043.742000000.100-20.10.10-0.10
Kasstroom uit Investeringsactiviteiten -825.356-545.034-1,157.995-444.34-466.642-457.83-609.335-454.725-394.968-399.143-336.889-331.284-278.122-325.513-173.152-144.207-86.092-150.455-95.07-92.143-68.855-62.726-79.707-91.659-95.352-105.5-82.4-58.2-71.7-40.6-52.5-72.2-35.9-22.4-32.3
Financieringsactiviteiten:
Schuldaflossingen -53.656-40.97-261.463-571.661-17.476-16-15.688-15.399-15.399-0.553-15.865-10.757-1.972-80.522-19.231-21.10000000000000000000
Uitgifte van Gewone Aandelen 016.3990.1331.7842.95837.69440.077103.2573.7170000573.333002.1042.9412.1391.8933.6430.3461.0510.3740.3841.10.90.22.20.50.50.10.400
Terugkoop van Gewone Aandelen -104.898-16.399-17.648-8.105-7.224-37.479-214.683-47.893-4.975-3.339000-501.0260000000000-29.9700000000-2.80
Uitgekeerde Dividenden -62.918-55.617-51.212-47.971-45.951-41.43-38.78-36.758-33.527-30.175-27.095-24.685-22.849-20.467-17.308-15.246-13.18-10.098-9.06-9.771-6.479-4.963-4.211-3.71-3.146-3.2-3-2.6-2.5-2.1-1.6-1.3-1.3-0.80
Overige Financieringsactiviteiten -18.512-20.339-1.016524.47545-5.948-4.426-6.8136.41915.089146.05965.754.4110.6481.6041.858-31.36477.186-20.018-28.999-20.868-14.973-4.23524.0429.08435.16.8-16.731.2-51.943.72-3.76.9
Kasstroom uit Financieringsactiviteiten -239.984-116.926191.587-101.478-22.693-63.167166.5-3.606-42.507-15.639103.09930.308-20.41-28.034-34.935-34.488-42.4470.029-26.939-36.877-23.704-19.59-7.39520.704-3.648334.7-19.130.9-6.60.842.51.1-7.36.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000000000000
Netto Kasstroomverandering -172.387219.991-177.667258.2714.9799.617-23.0380.94227.234-73.180.37-14.648-3.653-92.1045.981-8.82847.45631.69826.3183.1645.34321.598-4.0127.0419.9821.90.9-9.67.22.310.6-1.21.40.4
Kaspositie aan het Einde van de Periode 206.482378.869158.878336.54578.27563.29653.67976.71775.77548.541121.64141.27155.91959.572151.676145.695154.523107.06775.36949.05145.88740.54418.94622.95815.9175.943.112.75.53.12.11.62.71.3