CTS Corporation

NYSE:CTS

58.73 (USD) • At close November 7, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 60.53259.575-41.86634.68636.14646.53214.44834.386.95426.522-3.92920.33320.96722.038-34.0529.88625.41224.19722.23419.95612.575-17.85-45.37583.80251.537.522.821.217.2146.61.94.27.314.3
Afschrijvingen & Amortisatie 28.7129.75326.9326.6724.61922.51420.67418.99216.25416.97121.16919.61517.54817.56519.53124.17826.76224.89627.05926.08233.60543.37351.67444.32533.919.21712.511.711.212.111.713.113.113.4
Uitgestelde Inkomstenbelasting -4.0460.492-30.982-2.0482.413-1.00816.7110.297-8.924.912.568-0.2011.1662.5775.987-4.6871.5721.8859.1390.1530.313-10.802-26.2013.077-5.36.2-1.53.23.22.50.80.30.700
Aandelen Gebaseerde Vergoedingen 5.1817.7266.1053.4175.0155.2564.1842.7383.1952.664.2194.0993.7464.0353.5553.3750000000000000000000
Verandering in Werkkapitaal -3.53921.609-6.66110.064-6.535-15.482-10.34-9.168-8.983-21.867-3.6461.579-12.098-24.19519.366-15.45-1.759-4.798-4.428-18.626-27.489-8.32637.472-27.591-34.8-12.75-0.6-3.4-13.4-4.3-0.81.1-0.8-10.8
Vorderingen 12.59-5.913-0.928-0.3433.784-9.877-5.198-7.121.0364.356-6.0759.58.345-23.66524.0237.3770000000000000000000
Voorraden 2.353-8.211-3.57-0.5784.371-7.521-5.404-2.292.2253.437-2.51118.832-16.131-21.87817.0789.585-12.8120.087-3.579-10.8094.33613.88744.78-26.278-24.91.910.10.12.6-3.31.23.44.51.1-0.1
Crediteuren -9.751-2.2933.1363.86-4.6585.1135.3870.537-5.126-2.6924.716-17.5193.17122.186-19.761-16.1810000000000000000000
Overig Werkkapitaal -8.73138.026-5.2997.125-10.032-3.197-5.125-0.295-7.118-26.9680.224-9.234-7.483-0.838-1.974-16.23111.053-4.885-0.849-7.817-31.825-22.213-7.308-1.313-9.9-14.6-5.1-0.7-6-10.1-5.5-4.2-3.4-1.9-10.7
Overige Niet-Contante Posten 1.9732.042132.6153.9942.7470.3412.372-10.03730.1243.2377.19-3.771-9.138-2.69632.207-3.203-3.4264.071-0.3831.1861.832-2.2894.5567.242-1.3-0.614.9-1-1.7-1.31.9-1.10.71.3-1
Kasstroom uit Operationele Activiteiten 88.811121.19786.14176.78364.40558.15258.04847.20238.62432.42337.57141.65422.19119.32446.59634.09948.60347.18544.51913.96725.09822.44965.852110.85555.752.458.935.126.912.617.612.816.120.915.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -14.738-14.333-15.641-14.858-21.733-28.488-18.094-20.5-9.723-12.949-13.982-16.323-20.307-13.271-6.537-17.647-16.058-15.787-15.009-12.711-9.044-12.833-77.654-130.416-130.3-21.3-22.4-17.2-11.2-10-11.7-8.8-16-11.8-10.8
Netto Overnames -3.359-96.855-0.255-8.309-73.9060.003-19.121-73.063-1.285075-78.189-2.88900-21.054-1.0280-35.5610000000000000000
Aankoop van Beleggingen 00000000000000000000000000000000000
Verkoop/verval van Beleggingen 00000000000000000000000000000000000
Overige Investeringsactiviteiten -14.73800-00.1370.0030.54112.2961.8784.9511.76820.4276.81.0370.6060.3080.06514.4826.09319.8133.992.80910.7414.07825.715.1-68.40.80.3-5.111.55.70.30.7
Kasstroom uit Investeringsactiviteiten -18.097-111.188-15.896-23.167-95.502-28.485-36.674-81.267-9.13-7.99862.786-74.085-16.396-12.234-5.931-38.393-17.021-1.305-44.4777.102-5.054-10.024-66.913-126.338-104.6-6.2-90.8-16.4-10.9-15.1-10.7-7.3-10.3-11.5-10.1
Financieringsactiviteiten:
Schuldaflossingen -16.17-722.942-808.8-45.1-1,885.8-1,060.1-1,519.35-2,458.4-1,343.664-1,031.01-3,866.718-5,463.871-1,965.703-3,477.334-2,941.906-1,659.249000-21.581000-21000000000-2.3-12.2
Uitgifte van Gewone Aandelen 00804.201,935.51,033.8001,359.4281,032.2143,790.945,544.651,970.575001,668.9760.3810.11200.08718.18342.71139.9884.2210000.10.40.200.500.20.2
Terugkoop van Gewone Aandelen -40.926-21.447-8.786-9.997-11.746-9.44-1.604-1.809-18.088-8.002-6.208-10.374-3.57500-7.037-20.344-2.309-11.283-2.00500.170-9.284-9.2-61.6-10.1-0.100000-7.7-1.2
Uitgekeerde Dividenden -5.04-5.131-5.173-5.179-5.238-5.285-5.26-5.234-5.291-5.374-4.874-4.759-4.119-4.089-4.056-4.063-4.279-4.307-4.343-4.537-4.087-3.947-3.429-3.337-3.3-3.4-3.8-3.4-3.1-2.1-2.2-3.9-3.8-3.9-3.4
Overige Financieringsactiviteiten -3.263753.856-2.153-1.057-2.657-1.4681,503.7962,454.9910.313-2.8350.2940.160.2063,496.9762,911.368-0.7196.718-15.632-30.26340.756-19.47-57.163-42.88341.96969.9-4.941.2-8.9-1.14.50.9-1.72.94.7-0.1
Kasstroom uit Financieringsactiviteiten -65.3994.336-20.712-61.33330.059-42.493-20.814-8.643-7.302-15.007-86.56665.806-2.61615.553-34.594-2.092-17.524-22.136-45.88912.72-5.374-18.229-6.32412.56957.4-69.927.3-12.3-3.82.6-1.3-5.1-0.9-9-16.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.6511.10.159-0.7510.3460.187-0.793-0.4150.2280.7221.006-0.216-0.082-0.4950.468-1.8540.182.857-3.1291.871.4511.7740.076-0.741-0.50.1-0.51.30.21.3-0.4-0.1-0.1-0.30.7
Netto Kasstroomverandering 6.96615.44549.692-8.468-0.692-12.639-0.233-43.12322.4210.1414.79733.1593.09722.1486.539-8.2414.23826.601-48.97635.65916.121-4.03-7.309-3.6557.9-23.6-5.17.712.41.45.20.34.80.1-10.2
Kaspositie aan het Einde van de Periode 163.876156.91141.46591.773100.241100.933113.572113.805156.928134.508124.368109.57176.41273.31551.16744.62852.86838.6312.02961.00525.3469.22513.25520.56424.216.239.94537.324.923.718.418.213.413.2