The Cato Corporation

NYSE:CATO

4.62 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 27.91320.00519.75917.5111.82424.60378.04747.23467.05793.94679.42731.06934.89348.6350.38542.26221.58324.83321.73418.6423.85732.06541.77225.20130.38944.141.616.626.2242225.916.635.14.14.318.1
Kortetermijnbeleggingen 79.012108.652145.998126.416200.387182.711118.836201.233215.495162.185161.128157.578205.771181.395147.955102.54192.99598.70986.08588.58847.54574.87142.92357.91156.88642.1033.521.722.300000000
Liquide middelen en kortetermijnbeleggingen 106.925128.657165.757143.926212.211207.314196.883248.467282.552256.131240.555188.647240.664230.025198.34144.803114.578123.542107.819107.22871.402106.93684.69583.11287.27544.141.616.626.2242225.916.635.14.14.318.1
Nettovorderingen 29.75126.49755.81252.74326.08829.23728.01830.33636.6141.02339.22440.01643.02439.70340.15444.13645.28245.95849.64450.88952.71454.11652.29346.97245.45844.547.243.239.837.936.827.723.324.723.226.626.719.6
Voorraad 98.603112.056124.90784.123115.365119.585121.535145.682141.101137.549150.861140.738130.382132.02118.628112.29118.679115.918103.37100.53897.29293.45780.40779.16169.49761.164.26458.454.855.833.727.324.624.929.327.824.2
Overige vlottende activa 7.7836.6765.2735.845.23711.7522.32215.6327.31715.26911.40714.8149.73713.02611.0714.1414.51114.09510.8447.7675.9926.3825.86.2446.58747.932.537.72626.824.26.92.33765.42.4
Totaal vlottende activa 243.062277.673355.668290.55362.797371.688372.48443.808472.052454.451446.748390.214429.132414.774370.767315.369293.05299.513271.677266.422227.4260.891223.208215.489208.817197.6185.5161.5150.4143.5138.894.269.555.360.26664.264.3
Niet-vlottende activa:
Materiële vaste activa, netto 218.708244.658244.348272.367289.4794.304109.368126.386138.303135.181141.129134.227115.44599.773102.769116.262123.19128.461124.104117.59114.367113.307100.13785.81969.33854.749.851.354.453.135.524.321.92733.935.435.822.4
Goodwill 00000000000000000000000000000000000000
Immateriële activa 00000000.8351.50400000000000000000000000000000
Goodwill en immateriële activa 00020.598-1.301-1.803-2.0910.8351.504-2.186-4.1-4.60000000000-5.177-5.389-5.8140000000000000
Langetermijnbeleggingen 11.411.9231.8181.2641.3011.8032.0911.6181.8942.1864.14.60000000000-0.023-0.0110.0140000000000000
Belastingvorderingen 39.8889.2139.3135.6858.63611.20912.5713.77310.283.3631.3734.6315.0015.0017.8126.4036.7567.5088.5265.7810.2841.3925.25.45.85.903.94.54.200000000
Overige niet-vlottende activa 13.63719.67322.6190.98824.07321.80521.65819.90418.31115.2837.6683.5741.5112.544-0.358-2.681-2.204-3.162.3294.3419.5227.828.6969.4347.6340.36.11.50.60.54.33.73.51.12.92.32.62.8
Totaal niet-vlottende activa 283.643275.467278.098300.902322.179127.318143.596162.516170.292153.827150.17142.432121.957107.318110.223119.984127.742132.809134.959127.712124.173122.519108.83395.25376.97260.955.956.759.557.839.82825.428.136.837.738.425.2
Totaal activa 526.705553.14633.766591.452684.976499.006516.076606.324642.344608.278596.918532.646551.089522.092480.99435.353420.792432.322406.636394.134351.573383.41332.041310.742285.789258.5241.4218.2209.9201.3178.6122.294.983.497103.7102.689.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 87.82191.956109.54673.76968.43884.28282.605105.249113.154111.674111.51499.24794.073105.526103.627102.971110.84877.04678.03682.82876.38766.6257.49559.68154.70752.452.938.336.536.234.524.221.918.416.2000
Kortlopende schulden 61.10867.3666.80863.42163.14900000000000000660000000000001.55.15.300
Belastingschulden 13.54417.15916.13818.61220.21817.98118.19520.04532.1530.34730.1428.30315.14411.86110.9411.5067.9285.7214.994.4654.292.8860000000000000000
Uitgestelde opbrengsten 0000-68.438000000000000000000000000000000000
Overige kortlopende verplichtingen 39.07943.64167.78144.744136.15357.90456.47666.66379.9182.22765.61760.35562.9270.0265.07547.75938.08846.00354.52743.80332.10531.66226.0830.08429.12221.219.317.811.812.712.716.214.4105.324.11923.3
Totaal kortlopende verplichtingen 188.008202.957244.135181.934199.302142.186139.081171.912193.064193.901177.131159.602156.993175.546168.702150.73148.936123.049132.563132.631114.49298.28283.57589.76583.82973.672.256.148.348.947.240.436.329.926.629.41923.3
Langlopende verplichtingen:
Langetermijnschulden 92.013107.407117.521143.315147.184000000000000001621.50000000000024.929.43430.23425
Uitgestelde opbrengsten niet-vlottend 0-45.421-46.824-53.761-48.302000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 39.88845.42146.82453.76148.3024.0944.24412.29303.3631.3733.337.8875.6954.0872.5281.7078.8179.26110.17210.2036.315.1775.3865.8065.95.33.94.54.23.52.70.9056.86.35.2
Overige niet-vlottende verplichtingen 14.47516.18317.91419.70521.97635.8946.39838.21636.61530.81627.30524.4819.5315.28717.12320.28222.77923.66324.86424.15611.2678.6548.5917.8347.3746.86.46.37.46.70.40.92.34.11.10.50.50.8
Totaal niet-vlottende verplichtingen 146.376123.59135.435163.02169.1639.98450.64250.50936.61534.17928.67827.8127.41720.98221.2122.8124.48632.4834.12550.32842.9714.96413.76813.2213.1812.711.710.211.910.93.93.628.133.540.137.540.831
Totaal passiva 334.384326.547379.57344.954368.462182.17189.723222.421229.679228.08205.809187.412184.41196.528189.912173.54173.422155.529166.688182.959157.462113.24697.343102.98597.00986.383.966.360.259.851.14464.463.466.766.959.854.3
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000000000
Gewone aandelen 0.6940.6910.7280.7620.820.8260.8320.8950.9350.9310.9750.9760.9720.9830.9861.2681.2621.2221.2111.0621.0541.0431.02710.9841010.90.900000000
Ingehouden winsten 64.279104.709134.208129.303203.458210.507225.894288.015320.594293.452308.893266.843292.741255.768225.086354.333340.088327.684294.462265.499252.828235.904204.961175.275146.881120.6101.588.786.378.364.842.525.115.625.932.438.437.1
Overige gereserveerde algehele resultaten 0.395-1.238-0.281.1551.423-0.077-0.321-0.2140.80.7860.7780.8210.9360.2760.5340.4130.7090.225-0.151-0.84-1.535-2.122-0.961-1.573-2.785-52.2-46.7-40.7-38.7-31.4-25-20.8-18.2-16-13.3-12.9-10.3-7.6
Overige totale aandeelhoudersvermogen 126.953122.431119.54115.278110.813105.5899.94895.20790.33685.02980.46376.59472.0368.53764.472-94.201-94.689-52.338-55.574-54.546-58.23635.33929.67133.05543.7102.8102.7102.9101.293.787.756.523.620.417.717.314.75.7
Totaal eigen vermogen van aandeelhouders 192.321226.593254.196246.498316.514316.836326.353383.903412.665380.198391.109345.234366.679325.564291.078261.813247.37276.793239.948211.175194.111270.164234.698207.757188.78172.2157.5151.9149.7141.5127.578.230.52030.336.842.835.2
Totaal eigen vermogen 192.321226.593254.196246.498316.514316.836326.353383.903412.665380.198391.109345.234366.679325.564291.078261.813247.37276.793239.948211.175194.111270.164234.698207.757188.78172.2157.5151.9149.7141.5127.578.230.52030.336.842.835.2
Totaal passiva en aandeelhoudersvermogen 526.705553.14633.766591.452684.976499.006516.076606.324642.344608.278596.918532.646551.089522.092480.99435.353420.792432.322406.636394.134351.573383.41332.041310.742285.789258.5241.4218.2209.9201.3178.6122.294.983.497103.7102.689.5