DaVita Inc.

NYSE:DVA

144.94 (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 691.535781.6431,211.762994.6771,021.294333.04830.5551,033.082427.41863.33757.201641.237573.395484.219479.759374.16381.778289.691228.643222.254175.791157.329137.31516.975-147.25615.33723.76.54.9
Afschrijvingen & Amortisatie 745.443732.602680.615630.435615.152591.035777.485720.252638.024590.935528.119343.908267.315234.378228.986216.917193.47173.295119.71986.66674.68764.665105.209111.605112.4819227.115.44.44.7
Uitgestelde Inkomstenbelasting -39.354-75.66960.483240.84841.723273.66-395.21780.407107.493270.07421.518132.72991.63775.39950.86994.91218.6012.342-63.35729.11520.91462.46810.0938.906-21.546-16-0.70.7-0.5-0.7
Aandelen Gebaseerde Vergoedingen 112.37595.427102.20991.45867.8573.06135.09238.33856.66454.96959.99845.38448.71845.55144.42241.23534.14926.38921.6645.8215.8216.83717.990000000
Verandering in Werkkapitaal 194.5350.101-140.639-104.17286.85998.899-394.503201.94542.251-438.57774.181-34.148175.132-100.956-169.358-193.043-54.27831.161158.72733.055-29.3282.554-6.12150.97477.887-223.7-71-44.6-14.4-4.6
Vorderingen 172.361-148.394-138.14-21.087-79.957-81.176-156.305-152.24-202.867-40.676-59.64-63.673-88.84855.379-32.313-149.93915.911-74.737-62.021-41.369-41.369-17.699-37.1670000000
Voorraden -32.132-0.7575.72-12.34910.15873.505-18.62522.92-48.313-46.398-8.9714.05210.27-3.89215.115-2.71511.271-18.58711.984.2573.159-0.342-13.5759.402-8.742-7.2-1.3-2-0.3-0.1
Crediteuren 26.8987.481-30.3237.2-84.539-35.95926.87611.89730.998-2.95616.66640.87884.44.228-104.87957.422-9.21640.71228.869-6.875-6.87510.822-3.9060000000
Overig Werkkapitaal 27.41661.77122.101-107.936241.197142.529-246.449319.368262.433-348.547126.126-15.405169.31-156.671-47.281-97.811-72.24483.773179.89977.04215.7579.77348.528141.57286.629-216.5-69.7-42.6-14.10
Overige Niet-Contante Posten 359.4130.46616.446125.782239.477401.9451,054.037-110.58285.358118.676332.324-28.26223.849101.09232.03221.75-40.684-3.30720.15843.03445.76348.1428.24619.188147.37715013.417.78.58.4
Kasstroom uit Operationele Activiteiten 2,063.9441,564.571,930.8761,979.0282,072.3551,771.641,907.4491,963.4441,557.21,459.4071,773.3411,100.8481,180.046839.683666.71555.931533.036519.571485.554419.945293.648341.995272.733307.648168.94317.65.818.46.315.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -567.985-603.429-641.465-674.541-766.546-987.138-905.25-829.095-707.998-642.348-621.293-550.146-400.156-273.602-274.934-318.027-274.503-268.305-161.365-128.328-100.272-102.712-51.233-41.088-106.657-421.2-36.9-33-4.7-3.8
Netto Overnames 57.396-89.193-200.974-204.354-110.227-202.333-808.695-550.032-114.38-307.476-310.394-4,296.259-1,077.442-188.502-87.617-126.368-144.644-86.504-3,202.404-265.042-97.37-18.511-66.9390-154.22600000
Aankoop van Beleggingen -322.948-133.393-33.836-154.458-106.92-14.411-244.106-1,146.731-1,718.666-481.068-13.484-11.353-45.997-58.449-26.826-23.057-75.1460000000-25.38000-10
Verkoop/verval van Beleggingen 110.00474.90627.879154.70499.05244.388498.8781,259.4651,639.416143.5475.53421.74149.18461.19335.6242.64637.06920.567000000000000
Overige Investeringsactiviteiten 30.61120.76263.66353.2783,879.981153.85192.44264.72519.8449.61662.7553.56775.18322.7277.69730.84630.75222.179318.40613.7093.6664.72225.206134.443-11.167-53.9-239.3-138.5-29.4-22.8
Kasstroom uit Investeringsactiviteiten -723.533-630.347-784.733-825.3712,995.34-1,005.643-1,366.731-1,201.668-881.784-1,277.729-876.882-4,832.45-1,399.228-436.633-346.06-393.96-426.472-312.063-3,045.363-379.661-193.976-116.501-92.96693.355-297.43-475.1-276.2-171.5-35.1-26.6
Financieringsactiviteiten:
Schuldaflossingen -622.406-11.282-861.115-4,110.304-40,606.041-699.804-50,837.112-52,115.932-53,922.29-60,046.487-66,724.104-39,286.027-36,249.584-24,134.502-18,828.8240000000-156.2360000000
Uitgifte van Gewone Aandelen 000011.38213.57721.25223.54326.155000024,946.60922.44640.24762.90240.59343.91943.43223.05629.25719.562.6582.04621.52.5129.3100.710.7
Terugkoop van Gewone Aandelen -272.219-802.228-1,598.627-1,459.417-2,383.816-1,161.511-802.949-1,097.822-549.935000-323.348-618.496-160.354-232.715-6.3500-96.54-107.162-642.171-20.360000000
Uitgekeerde Dividenden 0000000000000-83.591-67.7480000000-7.942000000-75.5
Overige Financieringsactiviteiten -329.05-305.3131,376.7763,722.94438,293.407-163.64750,873.80451,861.77354,333.25559,881.50866,241.11343,158.41136,325.749-192.41218,842.408-5.668-26.272-369.712,695.722203.146-50.384447.184-9.285-480.435197.653471.3253.413.5-43.7-1.7
Kasstroom uit Financieringsactiviteiten -1,223.675-1,118.823-1,082.966-1,846.777-4,696.45-625.354-766.257-1,351.981-138.97-164.979-482.9913,872.384-247.183-82.392-192.072-198.13630.28-329.1172,739.641150.038-134.49-165.73-174.263-477.777199.699492.8255.9142.85712.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 8.909-29.066-10.007-13.808-1.76-3.350.2544.276-2.5712.293-0.967-0.786000000000000-4.71800000
Netto Kasstroomverandering 125.645-215.97153.17-706.928793.298-103.5-166.542-585.929533.87518.992412.501139.996-466.365320.658128.578-36.165136.844-121.609179.832190.322-34.81859.7645.504-76.77466.49435.3-14.5-10.328.20.6
Kaspositie aan het Einde van de Periode 464.634338.989554.96501.791,208.718415.42508.234913.1871,499.116965.241946.249533.748393.752860.117539.459410.881447.046310.202431.811251.97961.65796.47536.71131.207107.98141.45.419.930.22