Cracker Barrel Old Country Store, Inc.

NASDAQ:CBRL

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

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 12.03525.14745.105144.593436.99636.884114.656161.001150.966265.455119.361121.718151.96252.27447.711.60911.97814.24889.56217.17328.77514.38915.07411.80713.86518.362.664.92948.113.138.61.68.72.311.65.111.2
Kortetermijnbeleggingen 0000000.1690.0320000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 12.03525.14745.105144.593436.99636.884114.656161.001150.966265.455119.361121.718151.96252.27447.711.60911.97814.24889.56217.17328.77514.38915.07411.80713.86518.362.664.92948.113.138.61.68.72.311.65.111.2
Nettovorderingen 49.08630.44632.24627.37220.15722.75719.49622.38135.57318.0525.67715.94214.60920.17713.5316.80820.40311.75914.62913.7369.8029.0138.16110.20111.578.95.24.82.83.232.41.71.80.510.30.20.5
Voorraad 180.958189.364213.249138.32139.091154.958156.253156.367152.308153.058165.426146.687143.267141.547144.079137.424155.954144.416138.176142.804141.82136.02124.693116.59107.377100.591.673.361.551.54228.423.215.712.69.47.56.83.9
Overige vlottende activa 36.13537.3326.67643.31146.76827.78116.34716.04714.57314.16711.99712.64811.40552.09444.48186.7163.2484.6764.71616.7722.64316.63723.516.611.22310.55.46.413.117.669.865.949.659.13.5190.40.20.1
Totaal vlottende activa 278.214282.287317.276353.596643.012242.38306.752358.857355.74456.824329.649302.194337.308245.915236.259198.325220.639200.281270.096190.483203.04176.059171.488155.19144.035138.2164.8149.4106.4120.4127.9135.376.185.318.930.49.812.315.7
Niet-vlottende activa:
Materiële vaste activa, netto 1,810.6561,861.2511,903.1331,954.3271,822.011,168.9651,149.1351,098.0971,080.1891,052.6361,043.2841,026.3691,022.371,009.1641,004.1031,046.8561,045.241,018.9821,270.0841,218.2981,118.5731,040.315984.817955.0281,075.1341,020.1812.3678.2568.6479.5386305.6236.7178.7125.594.174.254.740.7
Goodwill 04.694.694.694.69000000000000093.72400092.992.9107.3111.20000000000000
Immateriële activa 24.42523.42621.2121.28520.960000000000000093.72492.88292.88292.88292.882107.253111.20000000000000
Goodwill en immateriële activa 24.42528.11625.925.97525.65-44.119-6.08600-3.759-0.24-0.88300000093.72493.72492.88292.88292.88292.882107.253111.20000000000000
Langetermijnbeleggingen -67.712-74.2560-98.626-257.19389.16.086003.7590.240.8830000000000-42.5-35.7-38.7-29.90000000000000
Belastingvorderingen 67.71274.25680.19398.626257.19344.119-14.3885.0630-7.2177.1884.31615.18121.9670000000042.535.738.729.90000000000000
Overige niet-vlottende activa 48.19946.44-31.59157.79653.58680.7885.85659.92561.73573.96552.12755.42744.13333.83851.705047.82445.76747.39330.76720.36717.06714.559.7728.6018.3151.11.44.616.228.20.70.70.80.70.50.63.2
Totaal niet-vlottende activa 1,883.281,935.8071,977.6352,038.0981,901.2461,338.8451,220.6031,163.0851,141.9241,119.3841,102.5991,086.1121,081.6841,064.9691,055.8081,046.8561,093.0641,064.7491,411.2011,342.7891,231.8221,150.2641,092.2491,057.6821,190.9881,139.6827.3679.3570484.1402.2333.8237.4179.4126.394.874.755.343.9
Totaal activa 2,161.4942,218.0942,294.9112,391.6942,544.2581,581.2251,527.3551,521.9421,497.6641,576.2081,432.2481,388.3061,418.9921,310.8841,292.0671,245.1811,313.7031,265.031,681.2971,533.2721,434.8621,326.3231,263.7371,212.8721,335.0231,277.8992.1828.7676.4604.5530.1469.1313.5264.7145.2125.284.567.659.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 162.288165.484169.871135.176103.504132.221122.332118.395132.493133.11798.477110.637101.27199.68116.21892.16893.11293.0683.84697.7153.29582.17285.46164.93962.37767.338.227.430.629.825.823.11615.29.40000
Kortlopende schulden 49.91246.41154.69550.57581.696-81.7340.1573.461-64.028-395.1625-44.098-37.6960.1236.7657.4228.7148.1888.1160.210.1890.10.0870.20.22.72.73.74.14.13.63.91.21.41.31.30.50.40.5
Belastingschulden 41.43338.83560.21248.03131.17738.19637.06936.72537.56139.06136.26135.07645.52932.33540.61132.08100000000000000000000000
Uitgestelde opbrengsten 87.48895.01693.61593.15794.76281.73476.29272.37664.02858.9849.82544.09837.69632.6327.54422.52822.61821.16221.41320.81819.347120.387100.32714.64000000000000000
Overige kortlopende verplichtingen 154.519182.055184.143186.354171.094260.253165.838181.596236.324648.674171.136205.43217.788134.671159.021142.844140.275152.259182.306176.607173.95144.05547.2117.47111.0017463.157.748.442.937.832.226.318.41417.214.910.77.6
Totaal kortlopende verplichtingen 454.207488.966502.324465.262451.056392.474364.619375.828368.817445.611344.438316.067319.059267.104309.548264.962264.719274.669295.681295.345246.782246.714233.075197.249173.57814410488.883.176.867.259.243.53524.718.515.411.18.1
Langlopende verplichtingen:
Langetermijnschulden 1,152.5741,117.3171,145.4081,075.5581,542.63400400400400400375400525.036550.142573.744638.04779.061756.306978.382212.218185.138186.73194.476125293.762312.960.663.31721.125.238.443.344.51617.314.18.69.1
Uitgestelde opbrengsten niet-vlottend 0080.19300006.83322.078.7043.23911.64414.166-68.339-57.0555.57700000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 67.71274.25680.19398.62627.71844.11952.16165.42153.72650.03157.70956.49663.15968.33957.05555.65554.3362.433104.952107.3198.7777.6842.4935.68638.71329.923.716.21010.67.94.74.54.74.54.63.73.42.3
Overige niet-vlottende verplichtingen 46.85253.73-24.68688.615104.465139.922128.794129.353126.608133.594123.221120.073114.897225.604217.158145.325122.84267.499048.41123.92520.30310.7028.829000.400.1-0.1000.10.10.10.1-0.100
Totaal niet-vlottende verplichtingen 1,267.1381,245.3031,281.1081,262.7991,674.813584.041580.955601.607602.404592.329559.169588.213717.258775.746790.902844.597956.233886.2381,083.334367.939307.833284.713247.668169.515332.475342.884.779.527.131.633.143.147.949.320.62217.71211.4
Totaal passiva 1,721.3451,734.2691,783.4321,728.0612,125.869976.515945.574977.435971.2211,037.94903.607904.281,036.3171,042.851,100.451,109.5591,220.9521,160.9071,379.015663.284554.615531.427480.743366.764506.053486.8188.7168.3110.2108.4100.3102.391.484.345.340.533.123.119.5
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.2220.2210.2230.2350.2370.2410.240.2410.240.240.2380.2370.2340.2280.2280.2270.2230.2370.3090.4660.4880.4790.5030.550.6270.60000000000000
Ingehouden winsten 427.352479.718511.256663.398438.498561.65532.807492.836488.481485.687493.167438.673374.923298.757234.038167.245119.45112.874302.245869.522865.777794.417782.491696.485648.489590.1520.9418333270.7205.8149.1104.571.449.334.724.417.713.5
Overige gereserveerde algehele resultaten 0-000-20.346-6.9134.685-4.229-13.74-3.725-4.733-6.612-21.158-38.032-48.849-44.822-27.653-8.988-4.529-445.8-383.7-377.6-344.2-305.5-274.7-227.9-182-153.3-123.7-97.3-74.2-57-44.2-33-27.7-22.3-17.9-13.9-1.8
Overige totale aandeelhoudersvermogen 12.5753.88600049.73244.04955.65951.46256.06639.96951.72828.6767.0816.212.9720.73104.257445.8397.682377.6344.2454.573454.554428.2464.5395.7356.9322.7298.2274.7161.814278.372.344.940.728.4
Totaal eigen vermogen van aandeelhouders 440.149483.825511.479663.633418.389604.71581.781544.507526.443538.268528.641484.026382.675268.034191.617135.62292.751104.123302.282869.988880.247794.896782.994846.108828.97791803.4660.4566.2496.1429.8366.8222.1180.499.984.751.444.540.1
Totaal eigen vermogen 440.149483.825511.479663.633418.389604.71581.781544.507526.443538.268528.641484.026382.675268.034191.617135.62292.751104.123302.282869.988880.247794.896782.994846.108828.97791803.4660.4566.2496.1429.8366.8222.1180.499.984.751.444.540.1
Totaal passiva en aandeelhoudersvermogen 2,161.4942,218.0942,294.9112,391.6942,544.2581,581.2251,527.3551,521.9421,497.6641,576.2081,432.2481,388.3061,418.9921,310.8841,292.0671,245.1811,313.7031,265.031,681.2971,533.2721,434.8621,326.3231,263.7371,212.8721,335.0231,277.8992.1828.7676.4604.5530.1469.1313.5264.7145.2125.284.567.659.6