3D Systems Corporation

NYSE:DDD

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

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

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Operationele Activiteiten:
Nettowinst -363.167-122.949322.052-149.594-69.632-45.263-65.323-39.265-663.92511.94644.11938.94135.4219.5661.139-6.154-6.74-29.2810.0832.561-26.023-14.866-1.3418.144-5.32.1-4.64.68.94.50.5-2.8-9.4-2.3-1.9-5.1
Afschrijvingen & Amortisatie 45.3238.68634.62344.59550.39659.29362.04160.53583.06955.18830.44421.22911.5027.525.8866.6766.976.5295.7646.9568.4279.9027.7046.2456.15.85.13.62.92.21.62.11.30.90.780.5
Uitgestelde Inkomstenbelasting -2.412-2.518-11.679-1.206-3.354-2.99-5.567-6.566-2.875-24.555-9.892-0.661-5.14-1.2350.309-0.243-0.2681.752-2.5007.813-1.751.979-2.90.2-2.51.500000000
Aandelen Gebaseerde Vergoedingen 23.50442.41555.15317.72523.58729.25327.2631.29534.73332.79313.5585.1182.6371.4061.191.43701.083000000000000000000
Verandering in Werkkapitaal -64.91-30.188-0.707-7.30727.459-31.189-0.906-11.947-35.296-34.763-70.365-24.845-18.7464.394-1.893-6.211-0.127.405-19.053-6.9246.44418.448-0.013-12.1661.6-0.6-3-16.8-3.9-2.52.6-2.64.7-2.911.40.01
Vorderingen -6.1868.14-11.912-6.05215.0710.5993.98727.1320.89-55.977-43.684-19.246-12.09-7.4561.433.4840-13.0080000000000000000-1.80
Voorraden -20.555-48.147.866-9.90118.447-34.035-17.716-22.178-31.241-30.754-30.893-12.225-2.608-5.6932.436-2.4616.055-11.242-7.907-0.1892.3457.088-2.047-6.96311.2-0.1-5.7-2.7-1.20.8-0.43.3-4.2-1.30
Crediteuren -5.526-2.69527.159-6.653-16.84611.55912.448-5.878-18.90423.4827.62-0.238-3.45710.433-4.395-2.80204.2110000000000000000-1.70
Overig Werkkapitaal -32.64312.507-23.8215.29910.787-9.3120.375-11.021-6.04128.486-3.4086.864-0.5917.11-1.364-4.432-6.17527.444-11.146-6.7354.09911.362.034-5.2030.6-1.8-2.9-11.1-1.2-1.31.8-2.21.41.316.20.01
Overige Niet-Contante Posten 427.3816.159-351.29575.6663.125-4.3088.43622.85581.16610.50217.3213.2621.9870.1931.1031.0162.7774.181-0.1020.33512.334-19.9832.0490.9242.10.100.1-4.9-1.20.40.30.71.4-15.89-0.32
Kasstroom uit Operationele Activiteiten -80.695-68.39548.147-20.12131.5814.79625.94156.902-3.12851.11125.18453.04427.6631.8447.734-3.4792.625-8.33-5.8082.9281.1821.3146.6495.1261.67.6-5-7335.1-3-2.7-2.9-5.61-4.91
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -27.183-22.499-18.791-13.643-23.985-41.664-32.04-17.699-23.306-23.48-8.62-3.953-3.206-1.585-1.197-6.108-2.226-11.264-2.603-0.781-0.874-3.21-3.317-4.893-7.7-5.8-8.4-9.4-5.1-3.1-2.1-1.4-1.7-4.5-2.82-1.41
Netto Overnames -28.958-103.647-139.685-12.5-2.50.333-36.541-3.533-91.799-345.361-162.318-183.701-92.677-19.195-4.0980000000003.22.22.41.400000000
Aankoop van Beleggingen -0.194-384.3880000000000000000000000-0.5-6.7-3.5-8.400000000
Verkoop/verval van Beleggingen 180.925200.314000000000000000000000046.73.84.700000000
Overige Investeringsactiviteiten 0.1940.325419.0311.91-0.387-0.163-2.078-0.65-5.75-6.6-2.819-184.430.1740.0060.0523.4540.0210.248-0.243-1.154-1.257-7.805-54.7712.249-5-0.6-2.5-0.80.40.70.80.11.1-1.70.13-0.2
Kasstroom uit Investeringsactiviteiten 124.784-309.895260.555-24.233-26.872-41.827-70.659-21.882-120.855-375.441-173.757-187.654-95.709-20.774-5.243-2.654-2.205-11.016-2.846-1.935-2.131-11.015-58.088-2.644-6-4.2-8.2-12.5-4.7-2.4-1.3-1.3-0.6-6.2-2.69-1.61
Financieringsactiviteiten:
Schuldaflossingen -100.6140-21.392-46.84-76.768-0.694-0.437-1.055-1.049-0.696-0.157-0.163-0.221-0.216-3.28-0.42300000000000000000000
Uitgifte van Gewone Aandelen 00024.7020000.0020.001299.729272.076106.88962.05400023.2572.7138.1354.89815.53913.5442.3694.3990.40.60.40.532007.305.700
Terugkoop van Gewone Aandelen -5.211-10.864-12.619-5.138-3.194-7.367-5.545-2.871-0.6520-0.17600000000000000-1.4-0.2000000015.631.17
Uitgekeerde Dividenden 00000000000000000-0.752-1.617-1.420000000000000000
Overige Financieringsactiviteiten -5.855-13.815439.81120.29698.66214.958-8.751-1.241-1.108309.278299.0294.4148.1421.2573.553-1.011-8.5887.974-0.801-2.3316.69-7.70138.538-0.24-0.1-0.10.94.91.8-0.9-0.2-1.7-0.4-0.204
Kasstroom uit Financieringsactiviteiten -106.469-13.815405.8-6.9818.714.264-9.188-3.926-2.157308.582298.696111.126209.9751.0410.273-1.43414.6699.9355.7171.14722.2295.84340.9074.1590.3-0.91.15.433.8-0.9-0.25.6-0.45.515.635.17
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 3.516-5.881-9.2431.4280.289-3.1455.303-1.79-3.079-5.7060.3340.223-0.1550.325-0.0150.0420.269-0.5860.7730.1820.3950.189-2.519-0.1950.80.70.50.2-0.20.3-0.14.33.39.1-0.010
Netto Kasstroomverandering -56.604-397.995705.259-49.90623.698-25.912-48.60329.304-129.219-21.454150.457-23.261141.77112.4362.749-7.52515.358-9.997-2.1642.32221.675-3.669-13.0516.446-3.33.2-11.6-13.931.903.55.6-0.45.57.32-1.35
Kaspositie aan het Einde van de Periode 331.644391.975789.9784.711134.617110.919136.344184.947155.643284.862306.316155.859179.1237.34924.91322.16429.68914.33124.11226.27623.9542.2795.94818.99912.615.912.824.438.36.56.57.35.114.79.12-1.35