Dine Brands Global, Inc.

NYSE:DIN

29.85 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 94.85981.11197.864-103.994104.34680.354-330.53997.992104.92336.45372.037127.67475.192-2.78831.409-154.459-0.4844.55343.93733.42136.78240.84840.28835.33832.126.120.918.616.215.110.78.85.33.1
Afschrijvingen & Amortisatie 35.6337.95239.88542.82942.49332.17530.64830.60632.8434.74535.35539.53850.2261.42765.379112.01731.82920.0520.15318.73618.62515.96714.81813.56212.311.3108.36.96.45.754.94.9
Uitgestelde Inkomstenbelasting -13.822-1.071-2.065-20.049-5.494-11.847-145.402-13.302-12.546-25.92-18.984-16.01818.329-15.484-19.875-65.226-31.3246.304-3.689-63.00910.7639.6716.9416.34.934.45.84.12.821.11.6
Aandelen Gebaseerde Vergoedingen 11.9916.13111.57712.50810.80810.54610.78310.9268.8929.3199.36411.4429.49213.08510.7112.0896.9583.9111.56-2.7774.3370.8450.845-1.0280000000000
Verandering in Werkkapitaal -1.526-38.5646.52337.6183.29830.437-27.544-12.4397.768-2.34625.117-7.97-6.853-11.596-16.333-20.77829.92-8.282-3.856.8230.4856.536-12.6275.693-4.710.35.1-11.10.7-3.31.5-0.6-6.6
Vorderingen 1.913-2.5747.301-9.75-0.3963.149-8.9083.178-5.239-7,997-15,226-11,629-16,7223,736-2,441-2.441-22.479-2.524-0.1481.593.231-7.852-7.852-2.20000000000
Voorraden 0013.66714.448-0.95417.414-12.905-0.033-18.1747,990.70715,223.65511,607.001-3.723-0.263-1.4740.1820.5120.141-0.3890.4080.333-0.052-0.1460.53200.2-0.2-0.400.1-0.1-0.300.1
Crediteuren -16.027-3.66513.1316.4550.583-9.947.2080.0894.5461.2458.5321.778-3.5330.027-14.867-23.74937.266-0.394-2.053.293-10.239-3.922-3.9222.5720000000000
Overig Werkkapitaal 12.588-32.32112.42426.4654.06519.814-12.939-15.67326.6352.70218.9312.25116,722.403-3,747.362,441.0085.2314.621-5.505-1.2631.5327.1618.362-0.7074.789-4.710.15.3-0.61.10.6-3.21.8-0.6-0.1
Overige Niet-Contante Posten 4.009-6.2272.051127.591-0.271-1.319527.7874.327-6.36866.2734.926-101.787-24.694134.63886.558227.19669.42-1.677-2.75816.7788.0723.1532.7087.0132.7-0.11.31.30.10.1-0.1-0.10.51.1
Kasstroom uit Operationele Activiteiten 131.1489.336195.83596.503155.18140.34665.733118.11135.509118.524127.81552.879121.686179.282157.848110.839106.32364.85955.35366.98171.3178.11255.70367.51950.253.941.631.631.323.814.61811.210.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -37.172-35.318-16.849-10.927-19.424-14.279-13.37-5.637-6.642-5.937-7.037-16.952-26.332-18.677-15.372-31.765-11.871-9.426-7.365-16.631-80.545-141.74-119.797-99.378-72.3-71.8-59.7-57.2-42-31.1-29.6-23.7-14.1-11.4
Netto Overnames -0.091-78.2640.9460.5372.54-20.1551.1010.78200000-10,261-10.261-1,943.5670-12.9533.20700000000000000
Aankoop van Beleggingen 0000000000000010,291.802-4.7430.87013.843-0.485-45.5370000000000000
Verkoop/verval van Beleggingen 000000000000002.52861.1370.345013.84331.03300000000000000
Overige Investeringsactiviteiten 7.16632.67819.76429.11516.73119.63321.04518.18631.84316.50514.04182.369128.01172.1810.87720.82716.83118.72216.9820.140.6550.17-2.645-3.892-4.821.814.42.99.99.66.5-0.2-0.8-1.2
Kasstroom uit Investeringsactiviteiten -30.097-80.9043.86118.725-0.153-14.8017.67512.54925.20110.5687.003165.417101.67953.50418.83535.195-1,937.3929.29624.34837.264-125.427-141.57-122.442-103.27-77.1-50-45.3-54.3-32.1-21.5-23.1-23.9-14.9-12.6
Financieringsactiviteiten:
Schuldaflossingen -166.188-47.714-239.988-15.701-1,322.389-76.907-16.199-13.978-14.226-1,275.911-14.768-276.886-279.072-1,794.064-210.237-470.227-2,022.653-23.65600-8.8760000000000000
Uitgifte van Gewone Aandelen 3.8120.24125.337240.5231,311.96978.9282.6351.4099.5361,308.2079.08001,732.968-1,5001.135231.7285.94405.6110.2627.5617.1293.13353.84.70.92.60.70.90.427.60
Terugkoop van Gewone Aandelen -26.13-123.319-5.962-29.853-109.698-33.603-10.003-55.343-70.014-32.006-29.698-1.74-26.25-191.884-0.605-2.04-76.05-42.695-77.474-63.89-18.6340-0.023-6.6310000000000
Uitgekeerde Dividenden -31.715-30.7650-23.934-46.859-51.125-69.79-67.429-66.164-42.733-57.44500-26.117-24.091-33.362-17.293-18.138-19.55-20.696-16.1020000000000000
Overige Financieringsactiviteiten -5.21492.75615.554-2.685-15.954-5.605-2.3960.43220.939-88.656-0.51362.43640.33966.3061,526.121446.0653,722.6590.795-3.597-9.23416.724148.38458.67742.28123.8-5.1-3.726.60.1-2.23.18.5-22.92.3
Kasstroom uit Financieringsactiviteiten -225.435-108.801-230.396168.35-182.931-88.312-95.753-134.909-119.929-131.099-93.344-214.45-264.983-212.791-208.812-58.4291,838.391-77.75-100.621-88.21-16.626155.94565.78338.78328.8-1.3127.52.6-1.548.94.72.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000-3.93.722.70.8-2.38.55.93.71.9
Netto Kasstroomverandering -127.492-100.369-30.7283.578-27.90437.233-22.345-4.2540.781-2.00741.4743.846-41.61819.995-32.12987.6057.322-3.595-20.9216.035-70.74392.487-0.9563.0321.9-1.3127.52.6-1.548.94.72.3
Kaspositie aan het Einde van de Periode 181.092324.984425.353456.053172.475200.379163.146140.535144.785104.004106.01164.53760.691102.30982.314114.44326.83819.51623.11144.03127.99698.7396.2527.2084.24.79.731.44.6-0.39.711.66.33.6