Carter's, Inc.

NYSE:CRI

68 (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 228.215250.038339.748109.717263.802282.068302.764258.106237.822194.67160.407161.15114.016146.472115.6475.058-70.61887.2247.20249.65823.27819.2533.4912.653-3.83.51
Afschrijvingen & Amortisatie 64.13965.27694.10893.99995.95489.65384.41273.44168.39974.92468.50339.84832.54831.72732.27431.30331.07928.84338.61421.3424.28120.45419.16317.5218.44717.205
Uitgestelde Inkomstenbelasting -0.6-0.74-13.532-23.254-13.3-1.018-54.8921.2948.6573.9110.596-9.6519.1284.372.27-1.979-9.630.5020.38-3.1430.299-1.2640.6750.248-2.671.092
Aandelen Gebaseerde Vergoedingen 19.46321.87921.02912.8316.52914.67317.54916.84717.02917.59816.0413.0499.6447.3036.7758.65205.9421.82400.00500000
Verandering in Werkkapitaal 225.744-287.784-179.839325.904-15.498-47.991-19.13221.68-18.367-10.422-28.95671.715-87.552-97.338.19471.188-52.241-25.24622.431-29.597-17.375-12.0485.106-7.80420.432-15.13
Vorderingen 15.45332.683-46.4858.2758.121-34.448-18.0465.041-23.8378.405-26.064-10.2-33.222-39.3593.3589.1430-14.4710.2750-15.12200000
Voorraden 222.92-106.763-52.914-8.063-16.683-30.646-20.922-17.482-34.352-32.151-70.691-1.79-20.571-84.509-10.51422.008-31.906-5.1344.639-16.0320.94-16.6317.897-12.79921.772-13.769
Crediteuren -16.946-228.601-87.311284.824692.14.98241.17532.06143.31816.04386.51589.709-18.74518.93518.53522.42207.14318.230-0.57500000
Overig Werkkapitaal 4.31714.8976.866-9.132-699.03612.121-21.3392.06-3.496-2.719-18.716-6.004-15.0147.63326.81517.615-20.335-12.784-0.713-13.565-2.6184.583-2.7914.995-1.34-1.361
Overige Niet-Contante Posten -7.82939.6926.74470.69839.72818.813-1.08-2.139-5.5531.716-6.8942.5083.29-6.751-6.914-0.599152.707-9.03726.8164.41810.0180.9092.798-0.0214.0490.387
Kasstroom uit Operationele Activiteiten 529.13288.361268.258589.894387.215356.198329.621369.229307.987282.397209.696278.61981.07485.821188.239183.62351.98788.224137.26742.67640.50627.30431.28124.19736.4587.064
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -59.86-40.364-37.442-32.871-61.419-63.783-69.473-88.556-103.497-107.003-220.532-83.398-45.495-39.782-32.98-37.529-21.876-30.848-22.588-20.481-17.347-18.009-19.036-17.179-12.726-17.991
Netto Overnames 00000.7490.096-158.4570.2160.072000-61.20700000-309.984000017.17900
Aankoop van Beleggingen 000000000000000000-210.8250000-4.33600
Verkoop/verval van Beleggingen 0051.400000000000000229.180.60001.500
Overige Investeringsactiviteiten 005-1.40.7490.380.0150.2160.0722.271-38.0070.0060.010.2864.08400.0570.3485.8141.3040.8752.455-237.689-16.3810.3640.031
Kasstroom uit Investeringsactiviteiten -59.86-40.364-32.442-32.871-60.67-63.307-227.915-88.34-103.425-104.732-220.532-83.392-106.692-39.496-28.896-37.529-21.819-30.5-308.403-18.577-16.472-15.554-256.725-19.217-12.362-17.96
Financieringsactiviteiten:
Schuldaflossingen -120-620-10.995-744-761-315-163.9650-0.3490-400-52.50-334.523-3.5030000000-197.72-64.725-115.608-104.25
Uitgifte van Gewone Aandelen 4.4184.45710.9951,153.008779.49300.597208.4387.1666.9760000000.8523.0392.391.9861.55594.4691127.22000.06
Terugkoop van Gewone Aandelen -100.034-306.597-303.358-50.266-201.238-199.858-194.515-309.118-122.941-86.647-459.185-2.8460-500-33.637-57.46700000-0.06-0.07-0.507-0.32
Uitgekeerde Dividenden -112.005-118.113-60.124-26.26-89.591-83.717-70.914-66.355-46.028-40.477-27.715000000000-24.89300000
Overige Financieringsactiviteiten -5.024220.98310.772-7.639-11.045-0.968-2.11911.9666.6154.686402.2429.02911.505250.53916.8520.0284.727-75.845220.161-28.45-93.111-1.88526.04260.09791.448229.883
Kasstroom uit Financieringsactiviteiten -332.645-819.27-352.71324.843-283.384-298.946-223.075-363.507-162.005-122.438-84.658-46.31711.505-133.98413.349-32.757-49.701-73.455222.147-26.895-23.535-0.88246.439-4.698-24.66710.623
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.838-1.273-1.1356.1461.073-2.3620.5050.767-1.986-1.135-0.196-0.1680.2250000000000000
Netto Kasstroomverandering 139.465-772.546-118.029888.01244.234-8.417-120.864-81.85140.57154.092-95.69148.742-13.888-87.659172.692113.337-19.533-15.73151.011-2.7960.49910.8720.9950.282-0.571-0.273
Kaspositie aan het Einde van de Periode 351.213211.748984.2941,102.323214.311170.077178.494299.358381.209340.638286.546382.236233.494247.382335.041162.34949.01268.54584.27633.26536.06135.56224.6923.6973.4153.986