Dillard's, Inc.

NYSE:DDS

384.19 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 808.287650.3716.8360.3277.1123.5187347202.9403.8237.1124.1224.3343.3341.796.82388.912193.994299.84498.248160.873142.356152.96193.98198.72172.441.864.158.451.151.292.641.638.254.141.524.522.720.9
Kortetermijnbeleggingen 148.036148.90000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 956.323799.2716.8360.3277.1123.5187347202.9403.8237.1124.1224.3343.3341.796.82388.912193.994299.84498.248160.873142.356152.96193.98198.72172.441.864.158.451.151.292.641.638.254.141.524.522.720.9
Nettovorderingen 62.2425739.8155.146.249.939.648.247.156.528.731.528.72663.487.99810.8810.50812.5239.6511,191.4891,338.081,074.94979.2411,104.9251,192.61,158.71,130.51,103.61,102.11,096.51,090.2988.7920.5749.5644.9171.2224.680.7
Voorraad 1,093.9991,120.21,080.21,087.81,4651,528.41,463.61,406.41,374.51,374.51,345.31,294.61,304.11,290.11,300.71,374.3941,779.2791,772.151,802.6951,733.0331,632.3771,594.3081,561.8631,616.1862,047.832,1571,784.81,5571,4861,362.81,299.91,178.61,052.7889.3716.1527.9500.8385.5305.8
Overige vlottende activa 95.64685.577.958.759.868.839.636.344.446.346.941.834.642.543.753.12566.11771.19435.42152.55938.95255.50724.74753.54172.24915.712.8910.28.89.15.55.66.76.65.815.731.5
Totaal vlottende activa 2,208.212,071.91,914.71,661.91,848.11,770.61,729.81,837.91,668.91,888.41,6581,4921,591.71,701.91,749.51,686.7551,945.1882,047.8462,150.4792,293.4913,023.6913,130.2512,814.512,842.9483,423.7253,437.72,998.12,760.62,658.22,524.82,456.72,366.92,088.61,854.71,526.31,220.1712.2635.8408.9
Niet-vlottende activa:
Materiële vaste activa, netto 1,116.9851,152.21,233.11,336.91,506.11,586.71,696.31,790.31,939.82,029.22,134.22,2872,440.32,595.52,780.82,973.1513,190.4443,157.9063,158.9033,180.7563,197.4693,370.5023,455.7153,508.3313,619.1913,684.62,501.52,186.92,024.31,960.91,892.11,662.21,338.41,088.8921.8804.7713.9523.4405
Goodwill 000000000000000031.91234.51134.511000569.545585.1610.2659.30000000000000
Immateriële activa 00000000000000000034.51135.49536.73139.2140585.149610.18659.30000000000000
Goodwill en immateriële activa 00000000000-9.2000031.91234.51134.51135.49536.73139.214569.545585.149610.18659.30000000000000
Langetermijnbeleggingen 000000000009.20000-36.802-74.995-84.902000203-638.6-702.5-681.10000000000000
Belastingvorderingen 63.9515428.923.53.4913.487116.831225.684258.07154.061137.191111.637135.6190.58189.02743.48636.80274.99584.902000644638.6702.5681.10261.1252.5294.5000000000
Overige niet-vlottende activa 59.7662.868.970.272.6160.613130.16934.216-1.1798.439119.209158.063138.49-13.781-13.02742.452170.585167.752173.026181.839153.206135.965-612.211262.881265.10839692.2-148.9-156.5-202.481.57871.564.548.242.772.154.247.7
Totaal niet-vlottende activa 1,240.6961,2691,330.91,430.61,582.21,660.81,943.32,050.22,196.72,281.72,390.62,556.72,714.42,672.32,856.83,059.0893,392.9413,360.1693,366.443,398.093,387.4063,545.6814,260.0494,356.3614,494.4794,739.92,593.72,299.12,120.32,0531,973.61,740.21,409.91,153.3970847.4786577.6452.7
Totaal activa 3,448.9063,340.93,245.63,092.53,430.33,431.43,673.13,888.13,865.64,170.14,048.64,048.74,306.14,374.24,606.34,745.8445,338.1295,408.0155,516.9195,691.5816,411.0976,675.9327,074.5597,199.3097,918.2048,177.65,591.85,059.74,778.54,577.84,430.34,107.13,498.53,0082,496.32,067.51,498.21,213.4861.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 562.408828.5886.2758.4892.8921.2835.7839.3691.3730.4638.2653.8655.7491.536494.372642.94565.215581.908630.694820.242679.854675.962808.231647.843667.626921.2530536.7559545.5529.5549.1437.3384.5310.4273.5000
Kortlopende schulden 11.2529.756.514.515.81.216290.53.30.80.81.779.151.43.5227.239394.059104.314204.40896.555549.746140.67100.486211.281110.564166.7528311.8258.7148212.6114.6275.2250.5171.5242.720.52320.2
Belastingschulden 33.95920.823.5118.43922.211.141.946.756.6154.1137.2111.6135.661.11959.79174.41500000000000000000000000
Uitgestelde opbrengsten 6.30742.2786.298-639.924058.762-91.653-90.572-81.30415.82810.95-9.0420.177197.76459.7630188.094215.898227.3880000-460.127000000000000000
Overige kortlopende verplichtingen -348.578-870.778-892.498-236.915-892.8-979.962-744.047-748.728-609.996-746.228-649.15-644.758-655.877-462.055-342.798-673.869-528.413-506.913-545.792-691.806-573.367-606.133-788.877-170.143-635.222-915.3-489.1-490.5-507-480-475.6-523.3-412.5-356.5-259.1-207.3315.9266.1241.5
Totaal kortlopende verplichtingen 827.756859966.2772.9930.8933.51,039.6976.5751.2885.3776.2767.1870.4831.3769913.6651,184.17977.1151,147.3921,045.2331,336.087886.461928.071876.697810.5941,093.81,098.9894.7869.7759796689.5737.3663533.2582.4336.4289.1261.7
Langlopende verplichtingen:
Langetermijnschulden 521.461545.5552.3599.2599.1567.2568.3730.1822.1820.7821.5822.3823.9908.6970781.805785.904984.9391,090.7521,343.0061,872.7762,211.6062,145.0362,396.5772,919.2753,561.21,377.91,186.71,1781,200.81,269.91,414.11,038.5870.8772.5646.1446.2314200.7
Uitgestelde opbrengsten niet-vlottend 85.22783.90980.421-0.516000000000000000000000-6810000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.9682.0222.4140.5163.513.5116.8225.7258.1194.3230.2255.7310.6341.7349.7378.348436.541452.886479.123509.589617.236645.02643.965638.648702.467681.1307.1261.1252.5294.5282.6171.5139.3109.395.986.872.253.636.9
Overige niet-vlottende verplichtingen 316.426240.069193.065279.4273.6238.8240.2238.4238.9250.5228.5233.4256.3205.9213.5220.911217.403206.122259.111269.056147.901137.07157.511125.988121.45568100.1-0.4-0.10.2000.100.10.50.50.4
Totaal niet-vlottende verplichtingen 924.082871.5828.2878.6876.2819.5925.31,194.21,319.11,265.51,280.21,311.41,390.81,456.21,533.21,381.0641,439.8481,643.9471,828.9862,121.6512,637.9132,993.6962,946.5123,161.2133,743.1974,242.31,6851,447.91,430.11,495.21,552.71,585.61,177.8980.2868.4733518.9368.1238
Totaal passiva 1,751.8381,730.51,794.41,651.51,8071,7531,964.92,170.72,070.32,150.82,056.42,078.52,261.22,287.52,302.22,294.7292,624.0182,621.0622,976.3783,166.8843,9743,880.1573,874.5834,037.914,553.7915,336.12,783.92,342.62,299.82,254.22,348.72,275.11,915.11,643.21,401.61,315.4855.3657.2499.7
Eigen vermogen:
Preferente aandelen 000000.0190.045000.030.0030.02500000000000.0310.0310.1120.40.40.40.40.40.40.40.40.40.40.4000
Gewone aandelen 1.241.241.241.241.2391.2391.2391.2381.2381.2371.2371.2371.2251.2171.2091.2061.2051.2021.1931.1861.1691.1671.1581.1561.1551.201.11.11.1000000000
Ingehouden winsten 6,048.2885,648.75,027.9224,471.2694,556.4944,458.0064,365.2194,153.8443,994.2113,734.8913,413.243,099.5663,107.3442,653.4372,484.4472,427.7272,680.692,647.3882,414.4912,305.9932,201.6232,205.6742,617.6082,558.9332,579.5672,432.82,314.72,074.21,851.51,697.91,457.41,225.41,007.3809.3633.8491.9383.2296.5225.8
Overige gereserveerde algehele resultaten -87.208-65.722-22.798-34.935-31.059-12.809-15.444-11.137-17.118-31.029-24.074-31.275-39.034-17.83-22.298-16.872-22.211-21.229-14.574-13.333-11.281-4.496-1,664.7-1,507.6-1,341.8-1,723.2-1,522.2-1,341.3-1,179.6-1,082.2-912-702.7-558.6-456.5-379.9-297.2-229-178.7-143.2
Overige totale aandeelhoudersvermogen -4,265.252-3,973.818-3,555.164-2,996.574-2,903.374-2,768.055-2,642.859-2,426.545-2,183.031-1,685.829-1,398.206-1,099.353-1,024.635-550.124-159.258-160.946-145.573-40.408-60.56930.85145.58661.8511,714.31,577.31,593.82,130.32,0151,982.71,805.31,706.41,535.81,308.91,134.31,011.6840.4557488.7438.4279.3
Totaal eigen vermogen van aandeelhouders 1,697.0681,610.41,451.21,4411,623.31,678.41,708.21,717.41,795.32,019.31,992.21,970.22,044.92,086.72,304.12,251.1152,514.1112,586.9532,340.5412,324.6972,237.0972,264.1962,668.3972,629.822,832.8342,841.52,807.92,717.12,478.72,323.62,081.61,8321,583.41,364.81,094.7752.1642.9556.2361.9
Totaal eigen vermogen 1,697.0681,610.41,451.21,4411,623.31,678.41,708.21,717.41,795.32,019.31,992.21,970.22,044.92,086.72,304.12,451.1152,714.1112,786.9532,540.5412,524.6972,437.0972,795.7753,199.9763,161.3993,364.4132,841.52,807.92,717.12,478.72,323.62,081.61,8321,583.41,364.81,094.7752.1642.9556.2361.9
Totaal passiva en aandeelhoudersvermogen 3,448.9063,340.93,245.63,092.53,430.33,431.43,673.13,888.13,865.64,170.14,048.64,048.74,306.14,374.24,606.34,745.8445,338.1295,408.0155,516.9195,691.5816,411.0976,675.9327,074.5597,199.3097,918.2048,177.65,591.85,059.74,778.54,577.84,430.34,107.13,498.53,0082,496.32,067.51,498.21,213.4861.6