Diebold Nixdorf, Incorporated

NYSE:DBD

42.88 (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 1,376.1-585.6-78.1-267.8-344.6-566-241.5-176.757.8117.019-176.52284.396152.1-16.68347.838106.41439.54186.54796.746183.957174.77699.15466.893136.919128.976.1122.597.476.263.548.441.135.727.136.2
Afschrijvingen & Amortisatie 136.3126149.1180.4226.1258.7252.2134.8-6474.07282.59478.64479.85579.25377.69380.4763.3869.8176.23974.98364.30161.29645.45335.90134.725.628.53329.514.213.612.512.812.611.9
Uitgestelde Inkomstenbelasting 36.692.9-12.6-27.154.2-59.616.6-94.6-40.1-11.305-15.125-10.558-29.338-47.77750.379-12.5479.571-38.38810.06328.486-10.16612.98-27.45115.3058.5-4.21.1-5.3-4.5-13.7-3-4.2-3.1-0.7-1.8
Aandelen Gebaseerde Vergoedingen 5.213.413.814.92436.633.922.212.421.54515.43213.8414.29612.54111.9112.18913.782000000000000000000
Verandering in Werkkapitaal -182.5-17029.4-1.7115.6-56.2-62.5151.5-82.5-15.30777.564-53.408-28.38570.09395.53375.739-23.38988.252-57.14-62.908-27.099-55.612.176-81.847-7.623.5-58.4-53.9-46.1-917.520.2-10.94.4-2.1
Vorderingen -91.7-49.416.4-19.7111.55123.978.9-22.6-58.58823.983-75.275-22.79-69.377123.460.224107.501000000000000000000
Voorraden 52.7-74.5-84.8-14.8104.9-5.121.8124.3-51.2-53.24121.33720.955-12.6023.13676.001-53.658.955-24.768-23.558-52.43-10.5414.688-27.498-7.003-4.60.2-18.7-18.4-5.5-10.66.420.2-10.1-4.68.7
Crediteuren -65.4-66.5241.410.6-33.1-34.5-6.3-112.157.659.278-9.6592.56411.74165.768-54.19336.486.331000000000000000000
Overig Werkkapitaal -78.120.4-143.622.2-67.7-67.6-101.960.4-66.337.24441.903-1.652-9.92170.566-49.67532.685-129.05471.7338.115-23.28364.961-40.454113.888-29.79824.323.3-39.7-35.5-40.61.611.10-0.89-10.8
Overige Niet-Contante Posten -1,246.5135.421.7119.360.5282.4537.3191.935.810.32612.55110.0938.865-35.15977.28818.53159.18437.893-9.0438.138.08745.68167.28539.917-0.115.711.417.414.9-33.711.212.611.7-3.814.1
Kasstroom uit Operationele Activiteiten -257-387.9123.318135.8-104.137.128.436.7186.906124.224135.508215.397273.353300.852281.154150.26250.424116.865232.648209.899163.501154.356146.195188.6177.2111.393.671.241.394.686.548.451.166.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -47.8-53.1-51.3-44.7-42.9-58.5-102.5-67.7-58.6-61.453-35.447-49.742-54.753-51.298-44.287-57.932-43.259-44.277-62.605-61.238-72.82-50.338-68.656-42.694-199.4-30.8-67.7-33.6-35.3-22.6-18.3-12-9.1-22.2-9.9
Netto Overnames 413.510.51.1-3729.9-5.915.3-853.3-54.4-11.74935.447-28.2922.521.815-5.364-4.461-18.122-62.156-27.701-62.224-10.611-3.682-36.767-143.33200000000000
Aankoop van Beleggingen -270.5-401.3-288.4-241.3-222.2-200.2-329.8-243.5-125.5-428.652-17.364-1.236-356.354-86.714-241.921-357.091-50.588-126.887-61.007-40.157-56.974-35.033-65.711-35.642-142.2-78.3-44.5-69.5-66.10-140-121-104-84.7-120.5
Verkoop/verval van Beleggingen 282.2414.1287.7214.619.5117.6296.2225176.188.355520.318375.834311.437383.927221.411303.4157.43381.73540.17812.41882.63974.503110.37479.063105.94252.160.780.281.1100.178.3076.381.4
Overige Investeringsactiviteiten -11.261.725.8208.9181.4-20.2378.1-2.5-1.3540.0926.4398.964-28.559-43.583-80.091-29.076-36.937-38.628-33.111-24.3097.7-77.771-72.752-46.1-29.4-42.6-10.1-22-99.1-5.1-4.1-5.2-3.1-5.7
Kasstroom uit Investeringsactiviteiten -36.1-23.8-49.2-82.6-6.834.4-120.8-561.4-64.913.799-52.719-72.831-90.706-164.756-93.234-142.484-80.37-182.08-120.413-184.312-82.075-6.85-138.531-215.357-281.8-96.5-102.7-52.5-43.2-40.6-63.3-58.8-29.6-33.7-54.7
Financieringsactiviteiten:
Schuldaflossingen -565.2-127-19.4-1,049.9-115.9-337.7-10.8-958-116.9-15.825-126.67-780.538-650.136-15.963-56.917-624.040000000000000000000
Uitgifte van Gewone Aandelen 00000736.50.30.33.514.60716.72316.6794.0433.3321.51408.54411.71608.41820.1197.7035.0819.3993.94.64.81.21.22.31.62.92.50.60.9
Terugkoop van Gewone Aandelen 0000-1.5-3-5-2.2-3-1.918-4.063-3.452-111.815-24.386000-148.057-138.208-71.897-12.371-1.467-12.78-2.3-1.2-8.30000-0.5-0.6000
Uitgekeerde Dividenden 00000-7.7-30.6-64.6-75.6-74.946-73.997-72.83-72.901-71.9-69.451-66.563-62.442-57.408-57.77-53.24-49.242-47.528-45.774-44.271-41.7-38.6-34.5-31.2-29.3-26.7-24.2-22.5-21.2-19.8-18.5
Overige Financieringsactiviteiten -5.7476.815.81,066.8-98.1-377.2-17.6-9.90.411.5350.28116.43-2.011.149-6.134-17.603-17.319-0.7188.657-0.54-23.611-7.57279.651-0.59-0.5-16.2-1.3-5-1.52-3.6-3-2-0.1-0.2
Kasstroom uit Financieringsactiviteiten 559.5349.8-3.616.9-215.510.9-63.7881.642.2-81.154-204.449-36.227-123.535-111.1-132.502-84.166-135.276-24.06227.22-37.571-119.934-76.478-4.008107.04778-58.5-10.2-35-29.6-22.4-26.7-23.2-22.5-20.3-17.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 4-8.2-5.7-3.2-1.1-18.737.9-8-23.9-28.243-5.1398.4224.1062.73511.874-19.40217.7521.6320.1833.3296.6151.505-3.23300-80.7-8.6-41.1-28-0.7-31.3-27.7-18.8-17.4-11.8
Netto Kasstroomverandering 273.2-69.864.443.6-177.5-84.8-109.5339.1-12.591.308-138.08334.8725.2620.23286.9935.102-47.63445.91423.85514.09414.50581.6788.58437.885-15.2-58.5-10.2-35-29.6-22.4-26.7-23.2-22.5-20.3-17.8
Kaspositie aan het Einde van de Periode 592.3319.1388.9324.5280.9458.4543.2652.7313.6322.017230.709368.792333.92328.658328.426241.436206.334253.814207.9184.045169.951155.44673.76865.18427.3-38.211.7-19.3-12.316.67.76.811.116.224.7