Medical Facilities Corporation

TSX:DR.TO

14.83 (CAD) • At close October 17, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 43.99912.29546.49335.68325.42251.54946.57939.69492.54354.98145.12262.17512.136-0.596-0.74519.644-17.5550.018-4.442-10.941
Afschrijvingen & Amortisatie 21.53720.76326.76927.88834.83625.63427.74622.63124.54325.99826.59319.8319.39519.87619.38719.31415.94913.40411.7467.624
Uitgestelde Inkomstenbelasting 8.3255.2084.3964.0443.0448.9726.535-0.99424.7514.815-11.207-22.1186.7934.3231.595-11.5473.808-0.76500
Aandelen Gebaseerde Vergoedingen -0.476-0.6670.2920.1670.4660.4120.3410.181000000000000
Verandering in Werkkapitaal -0.488-6.211-10.4455.9131.52-1.458-0.9261.723-1.5173.84-4.9012.839-10.049-9.0592.064-3.751-1.541-2.316-1.543-1.99
Vorderingen 1.029-2.596-1.2324.831-2.280.484-2.4180.144-1.3623.338-3.457000000000
Voorraden -0.2051.4220.659-2.0160.432-0.808-0.52-0.079-0.588-0.3140.127000000000
Crediteuren -2.4832.462-0.5251.4832.668-1.7472.06-1.0083.8430.2270000000000
Overig Werkkapitaal 1.171-7.499-9.3471.6150.70.613-0.0482.666-3.410.589-0.19900000-1.541-2.316-1.5430
Overige Niet-Contante Posten -0.18325.6258.13713.39412.087-3.657-0.28915.055-25.124-3.65125.46220.95828.916-1.504-5.351-14.76518.3714.18128.22326.534
Kasstroom uit Operationele Activiteiten 72.71457.01375.64287.08977.37581.45279.98678.2980.248885.27577.14561.02641.42749.70345.29642.06641.94933.98421.227
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -16.053-6.718-8.421-7.518-12.567-21.837-11.19-43.704-7.385-8.297-13.325-10.633-3.072-8.578-16.168-16.246-5.515-2.916-5.674-1.972
Netto Overnames 2.3860.943-0.26725.8273.655-41.496-0.245-33.2636.923-0.34113.325-37.2560-0.0980-27.563-9.3470-43.64-144.752
Aankoop van Beleggingen 0000-13.939000-2.903-0.24-3.807-2.25-2.526-0.44000000
Verkoop/verval van Beleggingen 000010.2840002.7920.2482.2192.52600000000
Overige Investeringsactiviteiten 2.3860.943-0.26725.82713.939-1.351.2482.79335.886-0.333-12.6985.0053.747000.1720000
Kasstroom uit Investeringsactiviteiten -13.667-5.775-8.68818.3091.372-64.683-10.187-74.17129.427-8.63-14.286-42.608-1.851-9.116-16.168-43.637-14.863-2.916-49.314-146.724
Financieringsactiviteiten:
Schuldaflossingen -28.842-19.222-30.2-65.871-48.901-7.142-13.885-4.016-3.598-4.242-0.925-4.856-6.399-0.01800000-3.898
Uitgifte van Gewone Aandelen 0000002.0357.471.8062.061.742.04206.524000055.30561.961
Terugkoop van Gewone Aandelen -7.422-38.384-2.073000-1.094-0.644-3.448-0.872-2.98-1.1110-0.96000-0.153099.6
Uitgekeerde Dividenden -6.071-7.495-6.917-5.904-24.117-27.025-26.768-26.375-27.754-32.057-33.139-31.39-51.695-9.945-8.936-37.766-9.456-8.951-29.466-4.008
Overige Financieringsactiviteiten -27.491-12.252-32.8680.624-10.674-1.167-32.205-31.408-51.399-34.549-33.903-25.637-2.78-25.282-21.37947.186-18.449-27.005-2.919-23.936
Kasstroom uit Financieringsactiviteiten -69.826-77.353-72.058-71.151-83.692-35.334-71.922-4.973-84.393-69.66-69.247-20.952-60.874-29.681-30.3159.42-27.906-36.10922.92129.719
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.034-0.003-0.034-0.0510.505-0.7780.7010.336-8.614-4.273-1.2463.8070.621000-0.00100.631125.497
Netto Kasstroomverandering -10.813-26.118-5.13834.196-4.7-19.343-1.422-0.51816.665.4370.49617.392-1.0782.633.2211.079-0.7032.9248.221129.719
Kaspositie aan het Einde van de Periode 24.11334.92661.04466.18231.98636.68656.02957.45157.96941.30935.87235.37617.98431.59328.96325.74314.66415.36712.4434.222