CONMED Corporation

NYSE:CNMD

76.01 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 64.459-80.58262.5429.51728.6240.85455.48714.66430.49832.19235.93940.4810.75230.34612.13744.56141.456-12.50731.99433.46532.08234.15124.40619.31427.219.4-7.116.310.95.4-1.44.13.92.4
Afschrijvingen & Amortisatie 51.469.51970.74372.62572.32361.80358.54855.30943.87945.73447.86746.61642.68741.80741.28332.33631.53429.85130.78626.86824.85422.3730.14829.48725.723.676.453.93.32.22.11.6
Uitgestelde Inkomstenbelasting 0.7-6.0423.005-14.234-6.312.063-40.021-2.8712.251-0.2847.21812.946-13.09813.1584.24118.98416.714-12.28910.1284.30113.71510.6648.5627.9748.67-10.83.700.2000-0.1
Aandelen Gebaseerde Vergoedingen 24.25721.72916.33513.11111.77910.0378.4728.3757.4999.335.5935.6535.244.2234.3084.178000000000000000000
Verandering in Werkkapitaal -39.579-90.698-55.697-29.903-23.647-44.268-16.92-37.255-36.059-21.796-15.931-10.4977.11-22.37-22.858-26.001-22.4697.039-38.072-14.535-12.03-23.20614.033-20.825-23.5-23.37.228.7-10.7-13.7-2.8-4.71.1
Vorderingen -47.068-5.203-9.15913.92-13.943-17.46-13.631-6.38-9.6435.255-0.7981.6878.4649.342-12.879-3.735000000000000000000
Voorraden 14.071-78.564-37.806-30.397-0.117-15.037-3.9263.103-34.536-20.94-1.8173.81-7.85-20.317-9.454-8.11-22.621-9.38-33.621.441-3.411-15.213-4.235-18.035-8.6-19.36.30.4-4.3-0.61.6-2.1-1.61.5
Crediteuren 14.84913.3024.89-2.9770.03812.109-0.2862.09411.508-3.4494.2230.2592.649-4.645-7.4-7.043000000000000000000
Overig Werkkapitaal -21.431-20.233-13.622-10.449-9.625-23.880.923-36.072-3.388-2.662-17.539-16.2533.847-6.756.875-7.1130.15216.419-4.452-15.976-8.619-7.99318.268-2.79-14.9-40.928.3-6.4-0.42.1-0.7-3.1-0.4
Overige Niet-Contante Posten 24.111119.43914.84213.41512.3684.212143.411118.2612.2821.280.2638.10260.302-28.921-14.083-12.9093.77150.6017.59824.741-0.6110.94400-1-5.71.5-0.5-0.1-0.20.10.10.10.2
Kasstroom uit Operationele Activiteiten 125.34833.365111.7764.53195.13374.70165.56638.22248.06865.17680.94995.199102.99338.24325.02861.14965.89464.57242.43474.8458.0144.92377.14935.95372131.825.95.18.35.73.61.45.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -19.032-21.785-14.866-13.013-20.066-16.507-12.842-14.753-15.009-15.411-18.445-21.532-21.743-14.732-21.444-35.879-20.91-21.895-16.242-12.419-9.309-13.384-14.443-14.05-49.9-44.8-8.2-4.9-5.2-2.2-1.5-5.1-1.7-3.3
Netto Overnames 0-227.7440-3.852-367.5960-16.212-256.45-9.353-5.2650-86.253-4.191-5.289-0.33-22.023-5.933-2.466-0.372-81.645-55.079-17.3750-6.0420000000000
Aankoop van Beleggingen 00000000000000000000000000000000-40
Verkoop/verval van Beleggingen 000000000000000001.20500000000000004.100
Overige Investeringsactiviteiten -1003.2270005.1780001.8364.1910000000-4.08500000-395.3-31.7-9.5-2-21.80.1-3.20
Kasstroom uit Investeringsactiviteiten -20.032-249.529-14.866-13.638-387.662-16.507-29.054-266.025-24.362-20.676-18.445-105.949-21.743-20.021-21.774-57.902-26.843-23.156-16.614-94.064-68.473-30.759-14.443-20.092-49.9-44.8-403.5-36.6-14.7-4.2-23.3-0.9-8.9-3.3
Financieringsactiviteiten:
Schuldaflossingen -88-897.981-460.407-225.25-639.148-182.699-167.202-171.097-1.234-1.14-1.277-54.657-114.01-5.107-10.583-22.707000000000000000000
Uitgifte van Gewone Aandelen 0720030.567000029.31672.26483.1656.1172.4521.1987.34711.3552.73116.99815.23.271.141.830.4491.61.10.7663.30.113.50.616.90.1
Terugkoop van Gewone Aandelen 0-7200-30.5670000-16.862-50.556-3.923-15.021-22.977000-7.848-45.374-29.9890-20000-0.40000000
Uitgekeerde Dividenden -24.502-23.96-23.256-22.818-22.6-22.443-22.307-22.213-22.105-21.959-16.696-12.8620000000000000000000000
Overige Financieringsactiviteiten 2.071,146.941382.115196.009962.629132.877154.628377.51213.566-15.745-35.031-0.37114.21522.0264.78810.008-46.76-38.9826.04230.2925.254-80.055-65.423-15.9219.115.2364.7-36.74.3-2.5-1.5-0.1-5.1-0.1
Kasstroom uit Financieringsactiviteiten -110.432225-101.548-52.059300.881-72.265-34.881184.202-9.773-26.39-31.29611.353-66.699-15.606-4.597-5.352-35.405-44.099-22.33415.5038.454-10.915-63.593-15.47210.716.336529.37.6-2.4120.511.8-2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.47-0.741-1.8652.666-0.007-1.043.563-1.475-7.761-6.221-0.485-2.931-0.92-0.297-1.282.2214.2183.06-4.2211.9242.3690.975-1.181-0.663023.8371.710.79.6-4.117.6-2.77.5-1.9
Netto Kasstroomverandering -4.6468.095-6.5091.58.345-15.1115.194-45.0766.17211.88930.723-2.32813.6312.319-2.6230.1167.8640.377-0.735-1.7970.364.224-2.068-0.277-2.216.336529.37.6-2.4120.511.8-2
Kaspositie aan het Einde van de Periode 24.29628.94220.84727.35625.85617.51132.62227.42872.50466.33254.44323.7226.04812.4179.18811.81111.6953.8313.4544.1895.9865.6261.4023.473.729.8385.230.811.2-0.419.6512-1.7