Culp, Inc.

NYSE:CULP

6.03 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10.01220.96414.5537.00969.7940.00821.22820.79537.78729.72529.30323.5325.02323.18118.29511.7974.91410.1699.7145.10714.56814.35531.9931.2071.0070.52.30.80.51.42.77.2488.40000
Kortetermijnbeleggingen 0.9031.40408.7035.1945.00128.212.4434.35910.0046.2945.2865.9417.6993.02300000010.04300000000000000000
Liquide middelen en kortetermijnbeleggingen 10.91522.36814.5545.71274.98445.00949.43823.23842.14639.72935.59728.81630.96430.8821.31811.7974.91410.1699.7145.10714.56824.39831.9931.2071.0070.52.30.80.51.42.77.2488.40000
Nettovorderingen 21.75224.99723.08337.72626.67824.52726.30724.57723.63628.97827.5323.7125.05520.28820.5518.32627.51129.2929.04928.82430.71932.25943.36657.84975.22370.573.856.75244.336.726.42525.122.825.925.231.827.4
Voorraad 44.84345.0866.55755.91747.90750.8653.45451.48246.53142.48440.67438.41836.37328.72326.00223.97835.39440.6336.69350.49949.04549.55257.89959.99774.47167.178.653.547.445.836.626.322.918.82226.234.831.127.6
Overige vlottende activa 3.3713.0712.9863.8522.1162.8492.872.8942.4772.442.3442.0931.9892.3761.8212.4736.9384.3234.3982.6911.6343.20413.4137.85610.3499.67.85.44.23.12.31.51.21.40.82.84.61.51.6
Totaal vlottende activa 80.88195.516107.176143.207151.685123.245132.069102.191114.79118.421112.375100.74696.86382.63569.84156.62879.13789.78886.97494.175105.222121.716146.671126.909161.05147.7162.5116.4104.194.678.361.453.153.35454.964.664.456.6
Niet-vlottende activa:
Materiële vaste activa, netto 39.38544.30257.27955.73347.0548.38951.79451.65139.97336.07831.37630.59431.27930.29628.40324.25332.93937.77344.63966.03277.7784.96289.772112.322126.407123.3128.891.27775.86444.539.334.329.830.332.826.121.1
Goodwill 0000027.22213.56911.46211.46211.46211.46211.46211.46211.46211.46211.5934.1144.1144.11400047.148.478051.355.222.322.90000000000
Immateriële activa 1.8762.2522.6283.0043.3810.4484.2751.4921.6181.7451.8580.18500000004.1149.249.2447.083049.87351.355.222.322.922.6000000000
Goodwill en immateriële activa 1.8762.2522.6283.0043.3837.6713.56911.46211.46211.46211.46211.46211.46211.46211.46211.5934.1144.1144.1144.1149.249.2447.08348.47849.87351.355.222.322.922.6000000000
Langetermijnbeleggingen 8.5647.0679.3579.55611.5128.58913.86237.5174.0252.4150.7650000-0.054000000-16.9-10.30-14.6-11.2-10-8.10000000000
Belastingvorderingen 0.5180.480.5280.5450.7930.4571.4580.4192.3190.4472.040.7533.2053.6060.3240.05429.4325.68320.17610.0860016.910.3014.611.2108.10000000000
Overige niet-vlottende activa 0.832.5660.5952.0350.6641.3765.2322.3942.5732.5452.9171.1511.9072.0522.5682.822.4092.5881.5641.7161.4962.2354.1871.8715.5488.38.314.17.6222.60.60.81.15.24.86.47.85.6
Totaal niet-vlottende activa 51.17356.66770.38770.87363.39996.48185.915103.44360.35252.94748.5643.9647.85347.41642.75738.66668.89270.15870.49381.94888.50696.437141.042162.671181.828182.9192.3127.6107.5100.486.645.140.135.43535.139.233.926.7
Totaal activa 132.054152.183177.563214.08215.084219.726217.984205.634175.142171.368160.935144.706144.716130.051112.59895.294148.029159.946157.467176.123193.728218.153287.713289.58342.878330.6354.8244211.6195164.9106.593.288.78990103.898.383.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 25.60729.49820.57242.88823.10924.45529.01333.86824.21829.40426.96322.58230.83225.01122.84517.95322.6523.58520.83522.85215.32319.87424.32727.37137.28725.737.229.927.332.328.516.61812.8200000
Kortlopende schulden 2.0612.643.2192.73610.42600002.22.22.7613.2932.4120.1965.397.37518.6398.068.110.5280.51.4832.4881.6781.73.30.17.111.63.13.42.71.61.61.63.72.85.1
Belastingschulden 0.9720.7530.4130.2290.3951.0221.4370.2870.180.3250.4420.2850.6420.6460.2240.08300000000000000000000000
Uitgestelde opbrengsten 1.4951.1920.520.540.5020.3990.8090000000009.73211.95211.89915.40617.99621.814017.153000000000000000
Overige kortlopende verplichtingen 8.94410.698.24515.0686.08210.33810.76212.23412.10211.4549.62312.11410.0038.38910.1617.440.154.5792.4881.5441.850.34918.9051.26822.1082119.316.712.812.18.76.45.76.4015.416.818.116.2
Totaal kortlopende verplichtingen 38.10744.0232.55661.23240.11935.19240.58446.10236.3243.05838.78637.45744.12835.81233.20230.78339.90758.75543.28247.91235.69742.53744.71548.2861.07348.459.846.747.25640.326.426.420.821.61720.520.921.3
Langlopende verplichtingen:
Langetermijnschulden 2.4223.6127.0626.82131.7660.67500002.7864.46.7199.13515.36711.60414.04822.11439.66242.4450.50276107.001109.168135.808140.3152.376.574.962.258.523.114.116.818.426.236.132.722.9
Uitgestelde opbrengsten niet-vlottend -0000021.003000025.36417.86826.70117.692-3.876000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 6.3795.9546.0045.331.8183.1762.153.5931.4831.051.0133.0750.7050.5960.9820.9741.4640004.1383.85116.93210.3317.45914.611.2108.15.43.52.52.13.12.82.721.61.1
Overige niet-vlottende verplichtingen 9.0179.51712.4411.69111.683-4.56711.8747.3098.5277.833-18.758-13.677-22.537-13.5253.8763.9026.251000000000000000-0.100.60.50.30.70.5
Totaal niet-vlottende verplichtingen 17.81819.08325.50623.84245.26720.28714.02410.90210.018.88310.40511.66611.58813.89816.34916.4821.76322.11439.66242.4454.6479.851123.933119.498153.267154.9163.586.58367.66225.616.119.921.829.438.43524.5
Totaal passiva 55.92563.10358.06285.07485.38655.47954.60857.00446.3351.94149.19149.12355.71649.7149.55147.26361.6780.86982.94490.35290.337122.388168.648167.778214.34203.3223.3133.2130.2123.6102.35242.540.743.446.458.955.945.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.6240.6160.6110.6160.6150.620.6230.6180.6140.6110.6120.6110.6350.6630.6520.6380.6320.6290.5840.5790.5780.5760.5660.5610.560.60.70.60.60000000000
Ingehouden winsten 30.37644.19575.71584.43786.511115.579114.635100.60184.54775.75268.2653.01742.29328.99712.833-0.35538.48732.25533.57145.36763.21955.99980.88684.32692.71288.89076.36454.345.638.83532.630.228.229.527.122.3
Overige gereserveerde algehele resultaten 0.1180.0190.0320.146-0.010.04-0.085-0.004-0.144-0.095-0.060.0540.01600.1030.02-0.048-0.0040.018-0.139-0.349-0.5590.007-136.7-124.542-112.1-95.7-82.3-70.2-58.7-41.5-41.5-37.5-31.4-28.1-23.7-18.2-13.8-9.2
Overige totale aandeelhoudersvermogen 45.01144.2543.14343.80742.58243.69448.20347.41543.79543.15942.93241.90146.05650.68149.45947.72847.28846.19740.3539.96439.94339.74937.606173.615159.808150136.5116.28775.858.557.253.246.843.539.133.629.124.4
Totaal eigen vermogen van aandeelhouders 76.12989.08119.501129.006129.698159.933163.376148.63128.812119.427111.74495.5838980.34163.04748.03186.35979.07774.52385.771103.39195.765119.065121.802128.538127.3131.5110.881.471.462.654.550.74845.643.644.942.437.5
Totaal eigen vermogen 76.12989.08119.501129.006130.623164.247163.376148.63128.812119.427111.74495.5838980.34163.04748.03186.35979.07774.52385.771103.39195.765119.065121.802128.538127.3131.5110.881.471.462.654.550.74845.643.644.942.437.5
Totaal passiva en aandeelhoudersvermogen 132.054152.183177.563214.08215.084219.726217.984205.634175.142171.368160.935144.706144.716130.051112.59895.294148.029159.946157.467176.123193.728218.153287.713289.58342.878330.6354.8244211.6195164.9106.593.288.78990103.898.383.3