Clean Harbors, Inc.

NYSE:CLH

247.42 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 377.856411.744203.247134.83797.7465.636100.739-39.87344.102-28.32895.566129.674127.252130.51536.68657.48644.19846.67525.6212.6-17.345-28.1915.547.118-2.2-3.9-13.7-6.9-6.91.73.15.13.6-12.60.7000
Afschrijvingen & Amortisatie 365.761347.594298.135292.915300.725298.625288.422287.002274.194276.083264.449161.646122.66392.47364.89844.47137.5936.95530.30226.46528.94916.79511.98710.6569.89.61010.510.110.610.38.96.67.97.2000
Uitgestelde Inkomstenbelasting 12.68517.5491.482-9.7488.00519.089-83.33516.3491.84833.13632.51836.70941.1836.6584.833.197-7.492-6.385-1.2420.381-0.621.6761.347000.14.6-2.3-3.3-0.90.70.30.2-2.20.1000
Aandelen Gebaseerde Vergoedingen 20.70326.84418.83918.50217.81616.79213.14610.4818.558.88.9467.4948.1647.2190.9683.5654.799000000000000000000000
Verandering in Werkkapitaal -43.818-187.95612.298-32.722-10.961-55.431-24.235-28.77847.388-109.6874.238-8.019-111.183-2.634-16.0432.158-5.061-22.745-24.7473.47612.558-11.3915.231-2.764-2.2-2.5-33.32.94.5-10.7-0.3-1.9-8.4-2.5000
Vorderingen 2.453-201.087-96.55122.422-33.271-79.563-33.764-15.00955.271-14.342-53.73554.373-65.21-49.411-11.42917.221-19.142000000000000000000000
Voorraden -4.312-74.547-31.689-7.933-15.869-26.958-5.002-16.0814.059-21.339-1.144-12.871-11.696-3.1290025.195-2.54-2.389-1.2610.7050.456-0.736-0.571-0.200.10.1-0.3-0.2-0.2-0.10.40.4-1.1000
Crediteuren -27.42574.46108.398-80.3287.15346.915-10.684-3.503-16.299-52.02637.1175.93-8.11638.5535.05-17.763-4.603000000000000000000000
Overig Werkkapitaal -14.53413.21832.1433.11731.0264.17525.2155.814-5.643-21.9822-55.451-52.32222.706-9.6642.718.684-20.205-22.3584.73711.853-11.8475.967-2.193-20-3.13.23.24.7-10.5-0.2-2.3-8.8-1.4000
Overige Niet-Contante Posten 1.36510.43911.99626.813-0.13328.499-9.03914.44320.301117.36210.122-3.139-8.548-10.1231.931-1.2875.9616.882-0.26719.53815.31526.760.527-1.4410.70.60.60.64.51.61.5-0.1-0.113.80.2000
Kasstroom uit Operationele Activiteiten 734.552626.214545.997430.597413.192373.21285.698259.624396.383297.366415.839324.365179.531224.10893.27109.5979.99561.38229.66752.4638.8575.64924.63213.5696.13.9-1.55.27.317.54.913.98.5-1.55.7000
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -424.949-347.022-245.704-198.285-220.228-198.032-168.624-222.215-262.492-264.132-286.947-201.443-151.44-120.654-64.472-57.462-36.528-43.016-19.455-26.343-34.832-12.46-7.277-7.403-7-4.5-3.4-3.1-13-5.3-7.9-9.8-9.5-5.3-12000
Netto Overnames -118.846-69.467-1,253.232-1.127-24.649-151.023-3.801-159.781-94.345-16.187-63.264-1,373.921-336.96-14.646-54.476-27.628-7.41-51.4920.9872.1847.89-44.2170000000000000000
Aankoop van Beleggingen -158.264-49.845-129.234-70.891-35.836-44.772-38.342-0.59808.1640-10.5170-12.6330.452-2.529-2.31-55.628-3.469-95.1152.2520.4020000000000000000
Verkoop/verval van Beleggingen 117.35968.61198.41261.2251.20228.7230.37620.817013.86104.0791.4254.8570.1054.353.248.85720.3167.1326.5730.79201.1521.20.27.30.70.20.200000000
Overige Investeringsactiviteiten 9.658.77922.1569.62311.65515.4455.50717.9860.8991.645-2.0419.1993.86713.185-1.776-1.2460.2572.394-0.8851.957-32.629-59.854-0.228-0.712-0.3-2.11.7-0.3-6.2-1-1.6-1.4-0.55.5-15.3000
Kasstroom uit Investeringsactiviteiten -575.05-388.944-1,507.602-199.46-217.856-349.659-203.267-361.777-350.642-258.294-345.512-1,572.636-480.181-125.687-118.391-84.515-42.791-98.885-3.50947.631-52.998-115.739-7.505-6.963-6.1-6.45.6-2.7-19-6.1-9.5-11.2-100.2-27.3000
Financieringsactiviteiten:
Schuldaflossingen -753.912-128.473-15.993-162.004-855.822-457.006-408.028-246.594-0.511-7.122-4.891-526.599-7.837-35.126-284.895-68.971-1.45500-35.3890-99.4370000000000000000
Uitgifte van Gewone Aandelen 0000000.0460.6270.39700369.52002.315175.3611.1693.15577.7370.8731.06226.2560.2970.310.10.10.20.20.200.600.40.10.4000
Terugkoop van Gewone Aandelen -51.164-50.183-54.41-74.844-21.39-45.08-48.971-22.188-73.347-107.134-0.731-2.912-4.061-0.399-0.415-0.4832.84700-250-2.8910000000000000000
Uitgekeerde Dividenden 0000000000000000-0.206-0.276-0.279-2.187-0.974-0.536-0.22400000-0.3-0.4-0.30000000
Overige Financieringsactiviteiten 596.185-8.659968.652147.902823.787391.089384.239242.423-16.32120.31118.7481,377.859270.6383.295286.57910.8883.216-23.209-2.435-49.4615.78194.264-13.114-7.070.80.4-1.8-1.611-10.84.5-2.51.11.221.2000
Kasstroom uit Financieringsactiviteiten -208.891-187.315898.249-88.946-53.425-110.997-72.76220.235-90.179-93.94513.1261,217.868258.74-32.233.584116.7952.724-20.3375.023-75.7755.869117.093-13.041-6.760.90.5-1.6-1.410.9-11.24.8-2.51.51.321.6000
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.484-9.927-3.174.9193.573-5.4462.7314.207-17.733-8.321-3.216-0.4840.4232.4735.559-11.8846.06-1.0660.1870.4340.921-0.0360000000000000000
Netto Kasstroomverandering -47.90540.028-66.526147.11145.484-92.89212.402122.289-62.171-63.19480.237-30.887-41.48768.664-15.978129.98645.988-58.899101.36824.75-7.3516.9674.086-0.1540.9-22.51.1-0.80.20.20.2000000
Kaspositie aan het Einde van de Periode 444.698492.603452.575519.101371.991226.507319.399306.997184.708246.879310.073229.836260.723302.21233.546249.524119.53873.55132.44931.0816.33113.6826.7152.6292.81.93.91.30.210.80.50.30.30.3000