Cohen & Steers, Inc.

NYSE:CNS

97.96 (USD) • At close November 4, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Operationele Activiteiten:
Nettowinst 129.049149.486226.15475.165146.984109.52292.48692.8164.33775.73463.25567.89654.27746.405-0.33618.06175.4963.20431.9217.28812.0518.436
Afschrijvingen & Amortisatie 18.60117.3516.03314.7814.4444.4737.1177.616.2134.6245.6065.5625.0564.5314.2214.02717.7196.4039.6421.1361.0022.625
Uitgestelde Inkomstenbelasting 0.537-1.1990.1040.1070.096-1.373-0.314-0.97.392-0.279-3.087-0.173-0.4150.223-0.28310.4313.3251.191-4.235-18.029-0.098-0.052
Aandelen Gebaseerde Vergoedingen 44.46849.35240.46429.33727.81124.62621.76921.64922.68624.93121.53917.56218.67515.113.0121.69407.3355.853000
Verandering in Werkkapitaal -2.999-180.002-23.044-34.543-26.812-80.26-54.597-2.763-26.431-54.535-20.539-67.759-8.139-1.969-11.005-40.0668.737-12.8098.25-6.688-5.437-7.746
Vorderingen -4.03112.31-16.384-9.31-8.7293.262-7.613-3.413-0.724-1.9162.887-5.379-5.94-9.127-6.13713.142-4.306-23.872-9.609-8.938-9.767-4.481
Voorraden -0-1.284-2.885-28.14-19.7-87.1439.3193.45.476000000010.78-2.2367.6270.9933.5130
Crediteuren 1.8321.2842.8850.43-1.1752.262-0.2210.26-0.803000000013.04311.06317.8592.254.330.608
Overig Werkkapitaal -0.8-192.312-6.662.4772.7921.359-56.082-3.01-30.38-52.619-23.426-62.38-2.1997.158-4.868-53.208-10.782.236-7.627-0.993-3.513-3.873
Overige Niet-Contante Posten 1.56526.693-16.814.34-21.07815.61-2.208-3.44815.5994.1079.098-2.7452.991-10.2516.53421.0313.3030.041-1.31452.1493.2033.883
Kasstroom uit Operationele Activiteiten 191.22161.68242.90189.186141.44572.59864.253114.95889.79654.58275.87220.34372.44554.0422.14135.177116.7965.36550.11735.85610.7217.146
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -56.986-4.223-2.695-2.502-2.752-3.47-3.242-10.183-2.427-5.916-6.23-3.361-2.927-2.854-2.486-8.031-5.33-3.895-7.604-0.436-1.062-0.919
Netto Overnames 57.79-1.366-50.3430.0060.0520.0370.0410.3631.18410.8817.7410.811-8.8-7.56430.24500-6.890000
Aankoop van Beleggingen -188.662-145.345-54.043-70.963-50.943-63.557-16.901-8.096-5.663-7.829-10.195-20.733-37.611-19.748-32.802-35.427-83.528-136.588-58.867-67.819-0.527-0.513
Verkoop/verval van Beleggingen 126.082146.711104.38671.68989.59213.79625.81120.8147.30312.69926.725.73637.50354.87345.58345.10615.3195.8642.80.99700
Overige Investeringsactiviteiten -57.791.36650.3430.73238.701-49.7248.95113.0812.82415.75124.2465.8148.87.564-30.2450.0061.17597.0120.4850.89700
Kasstroom uit Investeringsactiviteiten -119.566-2.85747.648-1.7735.949-53.1945.7092.8980.3979.83518.0162.453-3.03532.27110.2951.654-72.37345.499-23.186-66.361-1.589-1.432
Financieringsactiviteiten:
Schuldaflossingen -00000000000000-0.027-0.045-0.079-0.026-1.722-4.837-0.134-0.625
Uitgifte van Gewone Aandelen 1.0631.0431.0010.8590.7410.5970.6360.6420.5390.4910.4080.4390.4660.4260.5420.8031.04871.3410.497104.9901.95
Terugkoop van Gewone Aandelen -21.536-26.815-22.592-25.937-10.408-10.599-9.141-8.04-19.234-11.722-7.962-8.484-6.647-3.386-2.253-32.008-38.313-6.6082.166000
Uitgekeerde Dividenden -112.446-107.352-147.555-122.489-162.705-178.879-98.313-70.825-68.177-84.237-79.695-97.208-69.118-102.4-8.472-31.592-38.727-18.278-16.338-3.983-9.255-7.339
Overige Financieringsactiviteiten -0.603142.09923.72-1.3282.24270.77146.3953.68115.76329.85325.49449.599-2.2512.3438.46110.76128.7052.975-2.166-43.0271.6933.64
Kasstroom uit Financieringsactiviteiten -133.5228.975-145.426-148.895-170.13-118.11-60.423-74.542-71.109-65.615-61.755-55.654-77.55-103.017-1.749-52.081-47.36649.404-17.56353.143-7.696-2.374
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.756-4.44-0.9991.3591.355-2.0130.679-2.808-1.294-2.1410.7320.446-0.227-0.1050.4580.1360.5540-0.44000
Netto Kasstroomverandering -59.97663.358144.124-60.128.619-100.71910.21840.50617.79-3.33932.865-32.412-8.367-16.81131.145-15.114-2.389100.2688.92822.6381.4363.34
Kaspositie aan het Einde van de Periode 187.442248.714185.35641.232101.35292.733193.452183.234142.728124.938128.27795.412127.824136.191153.002121.857136.971139.3639.09230.1647.5266.09