Cimpress plc

NASDAQ:CMPR

81.34 (USD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 203.775130.313277.053183.02345.02135.27944.22725.69777.426103.58462.50850.06562.203236.552162.727133.988103.14569.46464.65326.40220.063.1493.2283.083
Kortetermijnbeleggingen 4.538.5449.952152.24800007.8936.9113.857000.5299.604026.59838.57843.47400000
Liquide middelen en kortetermijnbeleggingen 208.275168.853327.005335.27145.02135.27944.22725.69785.319110.49476.36550.06562.203237.081172.331133.988129.743108.042108.12726.40220.063.1493.2283.083
Nettovorderingen 64.57667.35363.88550.67934.59660.64655.62148.6332.32732.14523.51522.02620.12513.3899.3895.6726.1054.6471.4651.1860.752000
Voorraad 97.016107.835126.72870.04480.17966.3160.60246.56318.12518.35612.1387.627.1688.3776.2234.3842.5481.1441.4070.3540.044000
Overige vlottende activa 88.112193.972217.394145.008177.216156.13157.692199.08564.99755.10390.74720.5252.20426.88830.11825.63811.3569.9247.1282.9681.092000
Totaal vlottende activa 457.979441.027626.315528.498248.404240.3239.296246.001200.768217.643157.941100.231115.598272.291203.002156.863144.074118.795114.56330.9121.9483.1493.2283.083
Niet-vlottende activa:
Materiële vaste activa, netto 343.858364.35367.52416.305494.917490.755483.664511.947493.163467.511352.221280.022261.228262.104249.961193.622154.52106.19250.31129.91314.3331.8910.9340.403
Goodwill 787.138781.541766.6726.979621.904718.88520.843514.963466.005400.629317.187140.893140.42900000000000
Immateriële activa 168.772204.511245.204274.434280.693332.541286.4324.394252.182173.172124.2339.40845.4576.0466.42605.385.1183.8341.5564.599000
Goodwill en immateriële activa 955.91986.0521,011.8041,001.413902.5971,051.421807.243839.357718.187573.801441.417180.301185.8866.0466.4266.7545.385.1183.8341.5564.599000
Langetermijnbeleggingen 04.4970.54350.7130.0860.0870.090.520.4090011.248000000000000
Belastingvorderingen 95.05912.74113.088149.618143.49659.90667.08748.00426.09317.1728.7620.5810.3276.5227.2777.0352.95600.43500000
Overige niet-vlottende activa 39.35146.19348.40235.95125.50625.90754.83734.0425.24932.11528.64429.18429.398.93711.2235.2759.0224.7482.2493.6071.127-1.891-0.934-0.403
Totaal niet-vlottende activa 1,434.1781,413.8321,541.3571,6541,566.6021,628.0761,412.9211,433.8681,263.1011,090.599831.044501.336476.831283.609274.887212.686171.878116.05856.82935.07620.0591.8910.9340.403
Totaal activa 1,892.1571,854.8592,167.6722,182.4981,815.0061,868.3761,652.2171,679.8691,463.8691,308.242988.985601.567592.429555.9477.889369.549315.952234.853171.39265.98642.0079.616.384.854
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 326.656285.784313.71199.831163.891185.096152.436127.38686.68265.87552.7722.59725.93115.99816.66411.3478.4869.4456.244.5172.946000
Kortlopende schulden 40.44543.2144.77668.7667.76104.51482.57553.06842.29739.02937.5758.75005.2228.3493.3043.2022.4821.2810.227000
Belastingschulden 46.49953.26641.88646.07453.16140.10233.55734.46939.80225.49523.1912.46312.4028.4270000000000
Uitgestelde opbrengsten 46.11844.69858.86150.86839.1331.7827.69730.37225.84223.40726.91318.66815.9788.8194.1383.3931.8930.7461.9240.545.685000
Overige kortlopende verplichtingen 204.245218.374233.306272.64162.816159.257184.759204.188141.24151.872101.05392.54887.66860.56265.60943.72435.65522.40313.71610.5856.155000
Totaal kortlopende verplichtingen 663.963645.332692.539638.173486.758520.749481.024449.483335.863307.223241.501155.026141.97993.80691.63366.81349.33835.79624.36216.9239.328000
Langlopende verplichtingen:
Langetermijnschulden 1,681.7391,713.7331,747.7351,817.2611,563.2371,070.422887.211982.642788.344605.184428.6012302290010.46519.50721.77223.04615.6965.816000
Uitgestelde opbrengsten niet-vlottend 024.023041.07451.815.88610.0800000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 24.70147.35141.14227.43333.81144.53151.24360.74369.4348.00730.84612.24618.3593.7943.1511.6372.6561.225000000
Overige niet-vlottende verplichtingen 38.6660.23649.69577.88269.5737.6852.64166.37738.85533.76944.4214.73413.8048.2076.9915.11.9460071.43643.935000
Totaal niet-vlottende verplichtingen 1,745.11,821.321,838.5721,922.5761,666.6181,152.633991.0951,109.762896.629693.862503.867256.98261.16312.00110.14217.20224.10922.99723.04687.13249.751000
Totaal passiva 2,409.0632,466.6522,531.1112,560.7492,153.3761,673.3821,472.1191,559.2451,232.4921,001.085745.368412.006403.142105.807101.77584.01573.44758.79347.408104.05559.07920.8918.24116.618
Eigen vermogen:
Preferente aandelen 000000000000000000000000
Gewone aandelen 0.6040.6150.6150.6150.6150.6150.6150.6150.6150.6150.6150.6150.6990.6990.6980.0450.0440.0430.0420.0110.011000
Ingehouden winsten 272.881235.396414.138537.677618.437537.422452.756414.771486.482435.052342.84299.144292.628248.634166.52598.78443.0984.066-23.077-41.017-19.985000
Overige gereserveerde algehele resultaten -30.364-35.06-47.128-79-88.676-79.857-69.814-113.398-108.015-98.9092.113-11.556-10.73212.877-10.6253.7228.0921.9220.6650.2580.27000
Overige totale aandeelhoudersvermogen -793.267-824.096-862.547-908.663-937.852-326.368-289.895-226.989-213.357-87.851-113.111-98.642-93.308187.883219.516182.983191.271170.029146.3542.6792.632-11.28-11.861-11.764
Totaal eigen vermogen van aandeelhouders -550.146-623.145-494.922-449.371-407.476131.81293.66274.999165.725248.907232.457189.561189.287450.093376.114285.534242.505176.06123.984-38.069-17.072-11.28-11.861-11.764
Totaal eigen vermogen -516.906-611.793-363.439-378.251-338.37194.994180.098120.624231.377307.157243.617189.561189.287450.093376.114285.534242.505176.06123.984-38.069-17.072-11.28-11.861-11.764
Totaal passiva en aandeelhoudersvermogen 1,892.1571,854.8592,167.6722,182.4981,815.0061,868.3761,652.2171,679.8691,463.8691,308.242988.985601.567592.429555.9477.889369.549315.952234.853171.39265.98642.0079.616.384.854