Cameco Corporation

NYSE:CCJ

52.44 (USD) • At close December 20, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 360.84789.264-102.654-53.19773.941166.235-204.718-59.87963.362183.413317.687264.583438.635514.7491,099.422450.117416.112375.715217.631278.784216.00555.4665.221-78.3378045.60182137.5102.181.173
Afschrijvingen & Amortisatie 220.324177.376190.415208.662275.749327.973330.345371.689312.518338.983282.756293.429274.835251.5240.6293.315225.539199.664197.516180.229124.489112.756129.387117.005136.9126.7122.70195.00167.557.558
Uitgestelde Inkomstenbelasting 126.337-4.469-1.20113.66661.077-126.306-2.519-94.355-142.63-175.268-89.758-46.37670.4736.215-15.001-142.196-134.129-184.639-51.72350.234-26.21338.60232.7570-11.99938.10158.8010000
Aandelen Gebaseerde Vergoedingen 3.6923.3184.5366.56414.34214.97613.9614.10116.85315.80819.00817.5519.49216.0862.7720000000000000000
Verandering in Werkkapitaal -26.568-110.356310.478-200.676113.238209.71976.114-79.426-81.128-96.756-162.986-18.32-117.867-239.442-84.333-136.679117.9735.375-77.532-43.97532.12355.998-70.25933.11321.29942.598-114.102-57.2-33.700
Vorderingen -242.41699.601-75.678143.71758.488-44.353-174.6131.529216.266-18.06326.97266.252-158.779-1.56634.5560000000000000000
Voorraden 38.394-226.358294.399-380.907117293.688315.416-62.966-285.16963.212-167.959-64.40329.105-74.899-74.93810.718-61.81-102.017-21.079-51.913010.9327.46919.70947.89951.399-114.5-1.1-26.100
Crediteuren 169.04416.40191.75736.514-62.25-39.616-64.689-17.989-12.22500076.46302.9460000000000000000
Overig Werkkapitaal 8.41-72.575-29.1333.76-13.148-39.616-64.689-17.989-12.225-141.905-21.999-20.169-64.656-162.977-46.897-147.397179.78137.392-56.4537.93732.12345.066-77.72813.404-26.6-8.8020.399-56.1-7.600
Overige Niet-Contante Posten 3.504149.47456.71481.87-11.32374.919382.868160.25281.035214.002163.177133.04646.109-42.01-553.347178.992179.262-25.901135.7262.133-04.879-18.319152.524-0.1-29.69816.50.399-2.737.5-3.9
Kasstroom uit Operationele Activiteiten 688.136304.607458.28856.889527.024667.516596.05312.38450.01480.182529.884643.912731.677507.098690.113708.267800.726418.02320.638228.042245.893250.842116.246224.306249.4235.2162.1175.7133.2176.1127.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -153.631-143.448-98.784-77.462-75.211-55.362-114.028-216.908-358.562-480.108-645.651-733.648-647.21-470.277-392.719-629.151-494.473-459.558-284.928-148.273-159.57-90.227-58.274-94.978-211.6-706.8-282.1-168.101-175.2-106.6-66.8
Netto Overnames -3,028.977-101.6815.3570.5110.6791.2491.9512.1680.1980-251.992-576.408000-503.1570-83.8560-3.71700.101000000000
Aankoop van Beleggingen 0-1,044.473-59.921-24.985-0.679-391.02500000.067-26.2940-680.346-243.10800000-288.258-42.597-94.80700000000
Verkoop/verval van Beleggingen 0054.56424.474391.025000011.56949.535754.434000000101.9560058.29621.96300000000
Overige Investeringsactiviteiten 1,137.756-1.2218.486-23.567121.59234.75720.974-0.91217.755447.797-6.3733.315119.1810.89874.947-12.425-32.34316.716204.454-8.6970.2410.0020.4039.856248.213-42.7016.001-77.30.12.9
Kasstroom uit Investeringsactiviteiten -2,044.852-1,290.822-80.298-101.029437.406-411.63-93.054-217.82-340.807-20.742-854.414-578.601-528.03-1,139.733239.12-1,144.733-526.816-526.69921.482-160.688-447.587-74.426-130.716-85.12136.6-693.8-324.801-162.099-252.5-106.5-63.9
Financieringsactiviteiten:
Schuldaflossingen 814.152-2.908-2.727-6.177-502.904000-0.01145.43-18.459485.941-2.608-9.733-231.188629.37735.914-156.7115.973-54.239255.843-124.30854.446-61.561-225.9252.39986.7013.5134.9-13.4-95.1
Uitgifte van Gewone Aandelen 27.537962.91726.7715.3750.08100.004006.2282.4757.0337.33918.109441.4420.97223.28927.05825.199142.51527.41110.9035.2090.912.5179.601198.26.95.421.2
Terugkoop van Gewone Aandelen 0000000000000000-429.327000000-46.485-12.4000000
Uitgekeerde Dividenden -52.079-51.895-31.839-31.638-31.613-71.224-158.297-158.31-158.313-158.2-158.165-158.066-146.017-106.132-92.603-80.495-66.906-52.66-39.97-34.262-32.275-45.183-44.987-28.022-28.699-28.899-27.001-26.4-26.2-26-26
Overige Financieringsactiviteiten -40.798-38.856-38.977-65.547-72.484-72.976-69.498-70.446-69.507-71.122-63.433-43.521-47.321-44.048000-0.001-00-23.312-10.7080.409-16.365-12.5-17.701-0.12.3-0.6-4.94.9
Kasstroom uit Financieringsactiviteiten 748.812869.258-46.772-97.987-606.92-144.2-227.791-228.756-227.83-83.892-240.057286.988-188.607-87.945117.651539.973-437.029-182.302101.20254.014227.667-152.05715.076-151.522-276.999385.399257.8-13.7113.5-42.3-115
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 31.03913.184-2.153-1.922-6.6078.222-3.863-4.1310.6483.1262.997-0.5597.618-4.028-9.87733.737-39.0381.876-9.662-15.906000000.00200-0.100
Netto Kasstroomverandering -576.865-103.773329.065-144.049350.903119.908271.342-138.326-107.979378.674-561.59351.7422.658-724.6081,037.007137.244-202.157-289.104433.661105.46325.97324.3590.606-12.3389-73.295.0990-5.927.3-51.8
Kaspositie aan het Einde van de Periode 566.8091,143.6741,247.447918.3821,062.431711.528591.62320.278458.604566.583187.909749.824399.279376.6211,101.229269.176131.932334.089623.193189.53284.06958.09633.73833.13145.50136.5109.714.60114.620.5-6.8