Eldorado Gold Corporation

NYSE:EGO

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 108.13-49.36811.09697.36173.685-379.631-18.591-7.507-1,645.142106.544-649.615318.058347.223206.063102.404163.65635.423.3-49.126-13.942-45.0352.136-3.8871.1065.392-121.455-111.158-1.605-2.42-1.5
Afschrijvingen & Amortisatie 273.542242.393202.857248.79155.331105.73272.1374.887178.978177.227149.068113.529122.414106.79138.65825.99520.041.7639.7984.768.0366.7876.211.36810.71413.63114.626.5671.687-1.1
Uitgestelde Inkomstenbelasting -28.74761.224139.9779.13439.771-118.839-19.8499.039-261.23227.79527.516-14.3111.804-5.252-2.972-12.90417.26-1.4910.3430.7573.5700.2031.31-1.5210.1940000
Aandelen Gebaseerde Vergoedingen 10.19510.7447.94510.69210.3966.98911.21810.55915.87718.77519.49221.79419.72216.5579.091000000000000000
Verandering in Werkkapitaal -28.801-28.314-8.91734.76915.2565.062-35.75532.29529.393-56.502-25.669-152.4729.948-64.43245.059-18.1871.265-31.6682.006-6.955-3.501-1.82510.137-4.2763.66400000
Vorderingen -29.875-3.76914.065-5.4086.029-1.471-2.45617.168-6.562-34.20617.705-47.7290-14.30725.386000000000000000
Voorraden -34.182-20.552-16.087-3.209-16.4120.775-31.437-18.26445.91513.184-24.705-18.346-13.299-12.452-19.799-26.057-16.899-26.222-2.867-0.304-0.607-0.425-0.40.3840.48400000
Crediteuren 35.256-3.835-8.1144.22726.233-13.516-1.92932.98973.1820000-4.350000000000000000
Overig Werkkapitaal -0-0.1581.215-0.841-0.596-14.242-1.86233.391-9.96-35.48-18.669-86.39723.247-33.32339.4727.8718.164-5.4464.873-6.651-2.894-1.410.537-4.663.1800000
Overige Niet-Contante Posten 25.99-25.6839.419-45.139-128.613447.00318.826-5.611,903.8849.506835.5818.6310.96632.348-0.198-61.4087.3045.07323.0454.95440.5762.190.001-4.92-0.069107.17775.971-2.846-0.22-0.2
Kasstroom uit Operationele Activiteiten 360.31210.996362.37425.607165.82666.31627.979113.663221.758283.345356.373295.228512.077292.075192.042105.54469.801-22.508-13.934-10.4263.6469.28813.0294.58917.972-0.452-20.5672.116-0.733-2.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -409.24-319.987-306.537-206.376-219.943-312.081-323.079-297.667-396.027-410.69-481.986-426.174-272.818-226.296-106.614-123.95-94.456-95.17-89.407-23.345-12.995-7.619-4.513-5.939-10.23-12.275-46.38-230.865-11.51418.5
Netto Overnames 1.9474.3840.324-3.782-3.10753.856-121.664-0.60318.632-30.318-6.3574.0210.147-6.08342.777.4791.48200.66400000000000
Aankoop van Beleggingen -0.645-55.163-28.05-55.759-3.179-1.138-0.216-3.436-17.894-3.313-34.7020.859-18.653-18.71-5.823-20.462-1.5560000000000000
Verkoop/verval van Beleggingen 33.864-4.38461.4095.23714.341023.0563.665033.4232.0251.278.15415.61154.17925.7270.663000.0700.0370.070000000
Overige Investeringsactiviteiten -28.5934.266.97616.45123.01455.8225.579779.3621.05426.77726.951124.34-10.00214.2861.91272.9482.114-35.2840.2270.357-1.1970.5395.64-4.574-2.76514.6651.049-6.056-8.1410.9
Kasstroom uit Investeringsactiviteiten -402.666-370.89-265.878-244.229-188.874-257.397-416.324481.319-392.867-384.121-494.069-295.684-293.172-221.192-13.576-38.258-91.753-130.454-88.516-22.918-14.192-7.0431.196-10.513-12.9952.39-45.331-236.921-19.65519.4
Financieringsactiviteiten:
Schuldaflossingen -145.468-6.884-527.865-142.521-606.729-1.2220-70-24.528-32.622-10.354-120.43-98.169-90.01-4.983000000000000000
Uitgifte van Gewone Aandelen 171.75714.10114.55295.99240.06600.58600.1211.9967.00322.14531.635.90725.20114.739.499171.2257.18463.70878.62147.9660.00511.5020.4840.0651.329275.44711.735-12.1
Terugkoop van Gewone Aandelen -4.523-13.9690-3.550-2.108-5.3010-2.394-6.413-6.462-6.83-6.43800000000000000-0.657-0.220
Uitgekeerde Dividenden 000000-10.610-11.257-13.01-84.948-93.142-61.167-27.644-0.149-0.300000000000000
Overige Financieringsactiviteiten 286.894-34.59446.186142.921481.20800.58670-1.15860.1594.794621.793-5.31259.8394.983-65.879-1.57.878-7.2740-7.15-15.571-10.956-6.271-5.253-0.0653.07825.14.547-14
Kasstroom uit Financieringsactiviteiten 308.661-41.342-67.12792.842-85.455-2.108-15.325-70-39.21610.11-89.967423.536-139.486-21.90825.052-51.4497.999179.103-0.0963.70871.47132.395-10.955.231-4.769-6.3964.407299.89116.062-26.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -8.204-0.35600-0.0670070000000000.00100.976-0.4396.915-1.765-0.823-0.259-0.20700000
Netto Kasstroomverandering 258.1-201.59229.365274.22-108.57-193.189-403.67594.982-210.325-90.666-227.663423.0879.41948.975203.51815.837-13.95226.141-101.56429.92567.8432.8752.452-0.9530.138-4.458-61.4965.086-4.327-9.5
Kaspositie aan het Einde van de Periode 537.708279.735481.327451.962177.742286.312479.501883.171288.189498.514589.18816.843393.763314.344265.36961.85146.01259.96733.826135.39105.46837.6274.7522.33.3183.1667.62569.0994.034-11.7