Brinker International, Inc.

NYSE:EAT

110.7 (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 155.3102.6117.6131.624.4154.9125.882150.823200.745196.694154.039163.359151.232141.06103.72279.16651.722230.049212.395160.219153.961168.636152.713145.148117.8485.269.160.534.472.761.648.935.726.118.114
Afschrijvingen & Amortisatie 170.8168.5164.4150.2162.3147.6151.392156.409156.368145.242136.081131.481125.054128.447135.832161.8165.512189.032190.167195.254184.767169.874138.354101.37192.77182.486.478.864.658.651.536.727.321.317.415.1
Uitgestelde Inkomstenbelasting -20.6-30.9-11.71.81.2-33.13.421-22.70421.52313.14-23.041-4.79311.80815.277-25.51647.654-68.064-18.823-34.219-14.8523.32939.19424.1663.2131.9852-1.24.7-8.31.6-2.3-63.61.72.41.5
Aandelen Gebaseerde Vergoedingen 25.914.418.616.414.816.414.24514.56815.15914.80216.07415.90913.46112.78915.59518.05400000001.307000000000000
Verandering in Werkkapitaal 55.5-26.8-75.156.210.6-99.6-30.374-22.9494.896-4.0860.454-24.5812.805-17.94638.358-160.285-3.05162.24385.73550.46567.38142.01966.077-3.30856.39823.646.8-5.9-18.7-31.716.127.511.3-11.80.7
Vorderingen -0.60.73.4-9.94.1-3-3.2813.487-3.6821.932-5.3725.3980.6081.2556.0830.3220000000-7.439000000000000
Voorraden -1.5-1.1-7.1-3.2-40.4-1.219-1.5580.0110.4750.9120.908-0.0151.3416.544-2.578-6.643.2298.474-12.63-14.047-2.6352.863-9.732-1.398-1.3-0.7-1.9-1.2-2.1-1.2-1.3-1.1-0.70.9-1.2
Crediteuren 30.8-5.80.221.19.8-4.11.5692.984-5.7831.1173.756-9.33912.188-21.515-9.963-43.51200000001.709000000000000
Overig Werkkapitaal 26.8-20.6-71.648.20.7-92.9-27.443-27.86214.35-7.611.158-21.548-9.9760.97335.694-114.5173.58959.01477.26163.09581.42844.65463.21412.15457.79624.947.5-4-17.5-29.617.328.812.4-0.30.91.9
Overige Niet-Contante Posten 373.828.538.413.531.726.519.88536.739-3.9912.81976.2359.313-0.922-19.63968.444128.146245.10343.68232.252.39471.78529.1488.723-0.9200-0.20.22.20.40.10.1000.10.1
Kasstroom uit Operationele Activiteiten 421.9256.3252.2369.7245212.7284.451312.886394.7368.611359.842290.688303.438259.988336.435274.535361.54484.976475.547443.48481.223448.871390.033246.811268.994193.2200.9138.3114.9101.6125.5107.277.948.139.731.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -198.9-184.9-150.3-94-104.5-167.6-101.281-102.573-112.788-140.262-161.066-131.531-125.226-70.361-60.879-93.613-270.413-430.532-354.607-334.911-305.863-326.525-431.543-297.427-165.397-181.1-169.8-191.2-187.1-183.9-115-120.7-91.1-58.2-56.1-34.8
Netto Overnames 4.75.5-106.61.6-94.6-3.119.8733.157-105.57700-24.622-6.2900000-23.09500000000002.14.200000
Aankoop van Beleggingen 0000000000000-2.8960-4.61200000000000-38.5-61.4-15.2-59-62.8-45-24.400
Verkoop/verval van Beleggingen 000000000000000005.9941.101179.325000000.12480.825.123.542.560.136.403.71.7
Overige Investeringsactiviteiten 25.222.71.55.149223.4873.1574.2561.950.88818.3098.1128.696224.3587.51782.216180.966111.30744.48419.9835.622-7.614-1.468-0.954-23.989.5-15.973.5-0.2-7-0.9-0.61.1-1.60.5
Kasstroom uit Investeringsactiviteiten -192.2-174.2-234.2-90.9-194321.3-77.794-99.416-214.109-138.312-160.178-137.844-123.404-64.561163.471-10.708-188.197-243.572-265.294-111.102-285.88-320.903-439.157-298.895-166.351-204.9-56.3-164.8-149.9-173.7-134.3-124.3-100.3-81.5-54-32.6
Financieringsactiviteiten:
Schuldaflossingen -182.1-1,197.1-644.2-365-876.6-306.5-848.311-391.832-113.402-366.177-66.521-466.38-18.749-16.127-391.046-180.492-74.639-325.209-78.71900000000000000000
Uitgifte van Gewone Aandelen 27.912.50.430.7148.532.3215.6216.14716.25929.29541.1943.41633.0572.3964.655.27766.28753.80871.11241.58740.337.79238.66530.64527.113.73.33.78.53.812.79.149.423.5
Terugkoop van Gewone Aandelen -25.8-5-100.9-4.2-32.4-167.7-303.239-370.877-284.905-306.255-239.597-333.384-287.291-422.099-22.868-3.739-240.784-569.347-305.714-170.21-322.615-64.477-136.069-65.578-60.707-48.1-17.1-150.400000000
Uitgekeerde Dividenden -0.2-0.6-1.1-1.5-57.4-60.3-70.009-70.771-74.066-70.832-63.395-56.343-50.081-53.185-34.448-45.355-42.914-40.906-25.41700000000000000000
Overige Financieringsactiviteiten -0.71,109.7717.441.2797.431,014.389592.007261.96494.142138.872662.337109.7860.291196.5280.551149.608657.557159.545-238.464278.955-80.39144.1879.966-72.83535.9-133.3169.713.498.6-3.7-0.2-0.6-16.615.3-3.9
Kasstroom uit Financieringsactiviteiten -180.2-80.5-28.4-298.8-20.5-531.5-204.849-235.852-204.266-232.863-201.346-152.58-202.919-458.063-249.438-224.385-203.452-211.618-196.497-337.562-2.073-104.56745.90353.053-102.89714.9-136.722.617.1107.10.112.58.532.817.3-0.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000-144.626.53572.18.817.122.433.414.31.2
Netto Kasstroomverandering 49.51.6-10.4-2030.52.51.808-22.382-23.675-2.564-1.6820.264-22.885-262.636250.46839.442-30.10929.78613.756-5.184193.2723.401-3.2210.969-0.2543.2-136.722.617.1107.10.112.58.532.817.3-0.4
Kaspositie aan het Einde van de Periode 64.615.113.523.943.913.410.8729.06431.44655.12157.68559.36759.10381.988344.62494.15654.71485.23755.61542.253226.76233.49210.09113.31212.34312.6-113.549.762110.812.522.632.439.921.45.3