Clear Channel Outdoor Holdings, Inc.

NYSE:CCO

1.39 (USD) • At close December 24, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 251.652286.781410.767785.308398.858182.456144.119542412.743186.2314.545561.979542.655624.018609.494.812134.897105.395108.64437.94834.10500
Kortetermijnbeleggingen 00000.8771.0351.721.4451.9543.1243.8624.10800000000000
Liquide middelen en kortetermijnbeleggingen 251.652286.781410.767785.308398.858182.456144.119542412.743186.2314.545561.979542.655624.018609.494.812134.897105.395108.64437.94834.10500
Nettovorderingen 499.811453.683643.116468.329713.137711.397664.369602.372699.861700.599710.529758.922718.312754.6730.3061,245.3231,193.142798.98689.007963.878785.20400
Voorraad 0186.91154.1816.59121.12218.06121.9421.1923.51421.89224.85720.094132.51100.391026.80226.71921.81170.45959.60158.13300
Overige vlottende activa 205.938385.00180.63864.53268.774100.7119.368176.643431.579147.335188.497168.351173.866170.662300.803187.715252.349263.729102.513105.414139.36753.289642.536
Totaal vlottende activa 957.4011,120.9161,134.5211,334.761,201.8911,015.8974.1721,341.41,577.2111,079.91,238.4281,515.41,453.7281,569.9781,640.51,554.6521,607.1071,189.915900.2951,107.24958.669753.289642.536
Niet-vlottende activa:
Materiële vaste activa, netto 2,157.646787.548827.2462,521.4883,096.6361,288.9381,395.0291,412.8331,627.9861,905.6512,081.0982,207.7442,246.712,297.7242,440.62,586.722,244.1082,191.8392,153.4282,195.9852,264.1062,213.8172,039.002
Goodwill 656.563650.643698.704709.637704.158706.003714.043696.263758.575817.112850.134862.248857.193862.242861.5921,180.1411,162.5891,092.9270787.006700.79700
Immateriële activa 904.874974.182989.1141,119.2791,292.5281,224.0251,251.0141,260.5831,314.1911,478.8121,555.7091,628.1981,724.231,819.6311,931.3622,529.553505.582553.3751,208.758545.974809.20700
Goodwill en immateriële activa 1,561.4371,624.8251,687.8181,828.9161,996.6861,930.0281,965.0571,956.8462,072.7662,295.9242,405.8432,490.4462,581.4232,681.8732,792.9543,709.6941,668.1711,646.3021,208.7581,332.981,510.00400
Langetermijnbeleggingen 08.0577.5198.4959.0229.88910.04210.1838.4327.50917.4216.8860040.352741089799178.287172.12700
Belastingvorderingen 0501.113402.81336.92649.337232.106295.38966.841,066.1751,069.6581,014.121873.78600-2,833.306-74186.167199.918239.947231.056155.19300
Overige niet-vlottende activa 45.9911,043.5521,239.43824.68839.71645.26731.10230.6984.6293.7582.4821.52806.324546.4753,111.3199.695122.05196.917316.917195.385172.7211,959.0995,126.086
Totaal niet-vlottende activa 3,765.0743,965.0954,164.8344,420.5135,191.3973,506.2283,696.614,377.44,779.9885,282.55,520.9645,590.3825,634.4575,526.0725,551.96,496.1094,328.4974,231.9764,018.054,133.6934,274.1514,172.9167,165.088
Totaal activa 4,722.4755,086.0115,299.3555,755.2736,393.2884,522.0284,670.7825,718.86,357.1996,362.46,759.3927,105.7827,088.1857,096.057,192.48,050.7615,935.6045,421.8914,918.3455,240.9335,232.824,926.2057,807.624
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 63.58773.429108.567101.15994.588113.71487.9686.87100.2175.91585.88295.51595.23100.54109.322118.29138.29121.578213.021243.542274.95100
Kortlopende schulden 433.768233.155654.549708.982796.0580.2270.5736.971-503.3553.461-547.767-52623.80641.67647.07369.52287.09990.483140.846146.268136.76300
Belastingschulden 51.20952.58757.76442.4530000000000033.15433.15431.25916.8120000
Uitgestelde opbrengsten 50.88260.40876.71264.31384.03585.05259.17867.00591.41194.635107.943107.03489.98100.675109.578109.511121.55896.42183.1960226.71700
Overige kortlopende verplichtingen 284.282762.369215.352173.299205.843530.823509.801480.872724.682543.818563.766599.449511.967523.045505.12461.388541.191501.768339.937359.245324.488642.331,825.904
Totaal kortlopende verplichtingen 883.7281,096.3221,091.7791,068.811,160.23729.816657.512634.7920.613714.4773.59811.405720.983785.421724791.865921.292841.509793.812749.055736.202642.331,825.904
Langlopende verplichtingen:
Langetermijnschulden 6,957.4346,782.916,894.7056,892.6496,623.4675,277.1085,266.1535,110.025,106.5134,930.4684,919.3774,935.3882,522.1032,522.1332,561.8052,532.3322,594.9222,597.8832,586.941,493.11270.25400
Uitgestelde opbrengsten niet-vlottend 0021.165171.611.00919.1337.257203.586190.898186.447178.961163.44768.0480-841.9110-4.095-3.40300000
Uitgestelde belastingverplichtingen niet-vlottend 231.481243.668324.579356.269416.066335.015321.442640.567608.91620.255656.15673.068822.932828.568841.9111,003.8664.0953.40300000
Overige niet-vlottende verplichtingen 100.575444.367161.097198.751227.937262.608605.411898.016290.83218.961250.167239.832156.037251.873256.236178.875220.796214.22160.879205.8111,611.561,704.932568.322
Totaal niet-vlottende verplichtingen 7,289.497,252.4957,401.5467,469.0657,287.7645,893.8645,871.5646,016.96,006.2535,788.95,825.6945,848.2883,569.123,602.5743,7073,715.0732,815.7182,812.1032,747.8191,698.9231,681.8141,704.932568.322
Totaal passiva 8,173.2188,348.8178,493.3258,537.8758,447.9946,623.686,529.0766,651.66,926.8666,503.36,599.2846,659.6934,290.1034,387.9954,4314,506.9383,737.013,653.6123,541.6312,447.9782,418.0162,347.2622,394.226
Eigen vermogen:
Preferente aandelen 000044.91200149.8740203.37500.42400193.75300000000
Gewone aandelen 4.9414.8364.7454.6874.6673.6663.653.6293.6173.6023.5913.153.5613.5583.5573.5573.5553.5463.5020000
Ingehouden winsten -6,780.875-6,469.953-6,373.349-5,939.534-5,349.611-5,000.92-4,781.245-4,127.206-4,268.637-4,172.565-4,162.975-4,114.515-3,931.403-3,974.349-3,886.826-3,018.637427.391173.27720.205-4,250.222-4,094.84200
Overige gereserveerde algehele resultaten -227.344-335.189-350.95-358.52-349.552-344.489-340.094-386.658-451.833-341.353-213.572-212.599-246.988-207.439-218.177-329.58247.478130.4762.472300.211175.34200
Overige totale aandeelhoudersvermogen 3,540.2373,524.6363,514.5243,499.913,486.9763,079.7293,102.3553,428.0153,959.4114,166.0414,331.0184,521.6956,683.5276,676.4916,669.0936,676.671,304.3061,279.0791,183.258-3.56,679.6642,578.9435,413.398
Totaal eigen vermogen van aandeelhouders -3,463.041-3,262.806-3,193.97-2,782.602-2,054.706-2,262.014-2,015.334-932.8-757.442-140.9-41.938198.1552,508.6972,498.2612,761.43,332.011,982.731,586.3781,209.4372,729.6532,760.1642,578.9435,413.398
Totaal eigen vermogen -3,450.743-3,249.942-3,182.91-2,771.747-1,901.892-2,101.652-1,858.294-782.914-569.66762.434160.108446.0892,798.0822,708.0552,955.133,543.8232,198.5941,768.2791,376.7142,792.9552,814.8042,578.9435,413.398
Totaal passiva en aandeelhoudersvermogen 4,722.4755,086.0115,299.3555,755.2736,393.2884,522.0284,670.7825,718.86,357.1996,362.46,759.3927,105.7827,088.1857,096.057,192.48,050.7615,935.6045,421.8914,918.3455,240.9335,232.824,926.2057,807.624