Encore Capital Group, Inc.

NASDAQ:ECPG

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 158.364143.912189.645189.184192.335157.418212.139149.765153.593124.163126.21317.518.04710.9058.38810.3414.910.7917.02649.73138.6120.7521.4120.8880.44.7
Kortetermijnbeleggingen 17.31136.8073.5410.6592.462.0233.9221.122000.202000526.877461.346392.209300.348256.333137.96389.13664.16847.00125.96900
Liquide middelen en kortetermijnbeleggingen 158.364143.912189.645189.184192.335157.418212.139149.765153.593124.163126.21317.518.04710.905535.265471.687397.109311.139263.359187.694127.74864.9248.41326.8570.44.7
Nettovorderingen 9.0816.09422.6138.77745.01375.39844.60639.276306.38259.432212.814139.1423.2653.3313.1341.7574.1362.5995.51501.2318.25617.92631.6168826
Voorraad 0-64.729-3.54142.173-2.46-127.051-147.069-79.108-50.161-38.316-28.496000552.83400000000000
Overige vlottende activa 41.64548.635-212.255-270.134-237.34851.653102.46339.83250.16138.31628.4966.39900-526.87728.33514.1228.3874.2123.4320.8423.1053.0532.4682.90
Totaal vlottende activa 158.364143.912189.645189.184192.335157.418212.139149.765459.973383.595339.027163.05111.31214.236564.356501.779415.367322.125273.086191.126129.82176.28169.39260.94191.330.7
Niet-vlottende activa:
Materiële vaste activa, netto 170.978113.9119.857127.297120.051115.51876.27672.25773.50466.96955.78323.22317.79613.6589.4276.2724.395.2495.1133.362.7863.5415.2447.4247.93.9
Goodwill 606.475821.214897.795906.962884.185868.126928.993785.032924.847897.933504.21355.44615.98515.98515.98515.98515.98513.73514.1480000000
Immateriële activa 0.04822.11236.3245.01251.37160.58175.73628.24318.12921.56423.5480.4870.4620.7481.1391.7392.5573.62819.3750000000
Goodwill en immateriële activa 606.523821.214897.795906.962884.185868.126928.993785.032924.847897.933504.21355.93316.44716.73317.12417.72418.54217.36319.3750000000
Langetermijnbeleggingen 3,468.4323,088.2613,065.5533,291.9183,283.9843,137.8932,890.6132,382.8092,440.6692,143.561,590.249873.119716.454644.753526.87700000000000
Belastingvorderingen 17.27718.06951.45133.20224.13424.9118.77351.07727.30633.71613.97454.01538.50633.787-526.8770002.040.3611.3586.8130000
Overige niet-vlottende activa -3,552.776323.004283.824315.96405.261328.01363.918229.557293.553224.362182.0281.99911.96813.3014.25223.52345.19650.60161.596.2954.323.3393.0752.7362.30.2
Totaal niet-vlottende activa 710.4344,364.4484,418.484,675.3394,717.6154,474.4574,278.5733,520.7323,759.8793,366.542,346.2471,008.289801.171722.23230.80347.51968.12873.21388.11810.0168.46413.6938.31910.1610.24.1
Totaal activa 4,630.4864,508.364,608.1254,864.5234,909.954,631.8754,490.7123,670.4974,219.8523,750.1352,685.2741,171.34812.483736.468595.159549.298483.495395.338361.204201.142138.28589.97477.71171.101101.534.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 173.928180.417195.068192.663223.911287.945284.774234.398294.243231.967137.27245.45026.53921.81518.20420.34623.74423.10117.41811.64410.6889.6185.51910.61.6
Kortlopende schulden 01,085.26880.078959.1381,241.8411,216.196967.76685.769851.947675.597526.63375.601002.68100016.52866.5670069.21553.2700
Belastingschulden 000000000003.0801.6292.6817.93510.3463.7274.28900.8830.5310000
Uitgestelde opbrengsten 0-180.417-195.068-192.6630000000003.8575.4815.2033.8982.1563.326-66.567000000
Overige kortlopende verplichtingen 125.853-1,067.46-845.56-935.881-1,465.752-1,504.141-1,252.534-920.167-1,146.19-907.564-663.902-45.4529.628-32.025-7.516-10.94-30.692-20.602-25.6143.4631.1050.492-9.618-5.519-9.22
Totaal kortlopende verplichtingen 299.781198.217229.586215.92223.911287.945284.774234.398294.243231.967137.272424.13129.62826.53946.95738.60624.24432.76944.73138.29925.27622.39978.83358.789125.2
Langlopende verplichtingen:
Langetermijnschulden 3,318.0312,898.8212,997.3313,281.6343,513.1973,490.6333,446.8762,805.9833,216.5722,773.5541,850.431330.435388.95385.264303.075311.319272.42200.132198.12166.82841.63848.0331.2362.23348.77.5
Uitgestelde opbrengsten niet-vlottend 03,328.7333,422.8643,644.4473,884.5443,812.1873,766.8013,069.982000003.857-16.98-15.1990000000000
Uitgestelde belastingverplichtingen niet-vlottend 089.27391.3194.61481.1725.0566.0695.091007.1648.23615.70917.62616.9815.19913.66910.6670000007.88.2
Overige niet-vlottende verplichtingen -313.657-3,186.311-3,318.236-3,502.168-3,818.28-3,783.634-3,737.719-3,045.47260.54979.67587.9362.7226.6610.4852.0363.4831.6420.63400000000
Totaal niet-vlottende verplichtingen 3,004.3743,130.5163,193.2783,428.5273,660.6333,524.2423,482.0272,835.5843,277.1212,853.2291,945.531341.393411.32407.232305.111314.802287.731211.433198.12166.82841.63848.0331.2362.23356.515.7
Totaal passiva 3,693.9483,328.7333,422.8643,644.4473,884.5443,812.1873,766.8013,069.9823,571.3643,085.1962,082.803765.524440.948433.771352.068353.408311.975244.202242.852105.12766.91470.43280.06961.02268.520.9
Eigen vermogen:
Preferente aandelen 01,278.211,238.5641,055.668888.058720.189616.314560.56700000000000000.010000
Gewone aandelen 0.2350.2330.2450.3130.3110.3090.2580.2560.2530.2580.2550.2320.2450.240.2340.2310.230.2280.2270.2220.220.0740.0720.0760.10
Ingehouden winsten 1,049.1711,278.211,238.5641,055.668888.058720.189616.314560.567543.489498.354394.628319.329249.852188.894139.842117.80998.97583.93359.92528.8345.658-12.388-25.737-14.8728.98.9
Overige gereserveerde algehele resultaten -123.92-98.816-53.548-68.813-88.766-110.987-77.356-104.911-57.822-0.9225.195-1.774-1.968-21.733-1.246-2.121-0.9950.4430.2110.1710.1060.3671.1962.9214.3-1
Overige totale aandeelhoudersvermogen 11.052-1,278.21-1,238.564-825.228-665.468-511.691-573.668-454.18116.659134.383171.81988.029123.406135.296104.26179.97173.3166.53257.98966.78865.38731.47922.11121.95419.76
Totaal eigen vermogen van aandeelhouders 936.5381,179.6271,185.2611,217.6081,022.193818.009581.862562.299602.579632.073571.897405.816371.535302.697243.091195.89171.52151.136118.35296.01571.37119.542-2.35810.0793313.9
Totaal eigen vermogen 936.5384,018.1344,077.2611,220.0761,025.406819.688723.911600.515648.488664.939602.471405.816371.535302.697243.091195.89171.52151.136118.35296.01571.37119.542-2.35810.0793313.9
Totaal passiva en aandeelhoudersvermogen 4,630.4864,508.364,608.1254,864.5234,909.954,631.8754,490.7123,670.4974,219.8523,750.1352,685.2741,171.34812.483736.468595.159549.298483.495395.338361.204201.142138.28589.97477.71171.101101.534.8