Encompass Health Corporation

NYSE:EHC

102.61 (USD) • At close November 12, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 361.6365.9517.6368.8446.4374.3335.8318.1253.7276.2382.5235.9205.80.7126.7252.4653.4-625-384.585-165.851-458.824-270.094202.387278.46576.51746.558330.608220.81878.94952.5986.729.722.412.98.1
Afschrijvingen & Amortisatie 273.9243.6256.6243218.7199.7183.8172.6139.7107.794.782.578.876.470.99785.3166.5208.133199.49200.195205.7375.27360.847374.248344.591250.01188.966121.19575.588-36.5-25.5-14.7-11.1-7.1
Uitgestelde Inkomstenbelasting 3.927.927.852.440-9.175.6132.9127.197.46.4102.736.5-738.54.13.7833.217.497-5.339-25.5560192.22696.448-5.85-43.4112.5213.5250.938-1.199-6.64.73.21.80.6
Aandelen Gebaseerde Vergoedingen 50.629.229.125.6114.485.947.727.426.223.924.824.120.316.413.457.712.10-0.46000000000000000
Verandering in Werkkapitaal 50.3-30.4-118-7.3-180.146-60.9-108.7-151-94.4-50.6-62.6-64.2-8.3-12-56.5-179.3-333.8-254.20440.78996.056658.536-482.633-143.061-293.18-441.594-329.1-199.447-74.38-30.559-46.7-40.7-161.7-12.7
Vorderingen -22.4-16.9-64.3-38.1-22.97-83.9-127.5-134.1-91.6-55.1-51.3-37.1-23.7-17.8-44.7-40.7-95.6-76.905-82.301-96.147000000000-19.5-31000
Voorraden 00000-2.425.918.3-13.9-3.9-0.2-5-5.314.49.6-6.3-83.8-15.119.538330.379191.13000000000-14.30000
Crediteuren 11.82.314.913.6-6.16.67.56.30.95.46.4-4.40.8-1.34.8-4.3-17.8-15.9-28.55928.28-12.282000000000-12.90000
Overig Werkkapitaal 60.9-15.8-68.617.2-151.134.8-10.4-5.8-3.9-4.3-1.7-1.9-22.62.3-8.6-1.2-37-207.2-168.278-235.56913.355658.536-482.633-143.061-293.18-441.594-329.1-199.447-74.38-30.5590-9.7-161.7-12.7
Overige Niet-Contante Posten 110.569.6-118.3-4.165.675.263.289.134.112.528.965.5984.3203-74.4-344.4626.6358.21345.286794.474-594.142383.144204.065552.776729.987151.81143.79490.5835.62272.852.329.322.114.3
Kasstroom uit Operationele Activiteiten 850.8705.8715.8704.7635.3762.4657.2605.5484.8444.9470.3411.5342.7331406.1227.2230.7-120.41.561413.915603.4130670.394796.764704.511636.132415.848367.656217.282132.0552.331.225.728.13.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -583.1-584.1-551.2-408.2-404.1-270.5-245-202.9-156.5-187.9-216.5-159.7-109.1-70.9-72.6-74.2-39.4-99.2-94.045-178.491-146.9410-480.506-666.93-507.255-762.627-408.028-347.408-260.201-182.882-110.8-86.2-72-37.5-20
Netto Overnames 68.364.1-118.6-1.1-231.5-143.9-38.8-48.1-985.1-694.8-18.1-3.1-4.9-34.13-14.61,179.970.511.067-0.74400-5.032-74.137-104.304-729.44-270.218-91.391-463.105-85.96700000
Aankoop van Beleggingen -23-35.2-9-8.7-32.9-13.3-8.5-1.3-7.1-3.5-9.2-9.1-19.3-70.7-10.2-4.8-23-104.2-91.24-68.127000-83.291-33.14-48.415-61.887-174.446-99.84-0.282-6-4.9-26.300
Verkoop/verval van Beleggingen 0-64.1912.617.611.6-10.7-23.812.80.316.90.31.210.45.612.466.464.870.3020.0783.698003.3921.318.340.7730.31721.0971.6612.11411.31.71.8
Overige Investeringsactiviteiten 3.3-7.73.5-2.1-6.5-8.418.531.16.190.7-7.2107.539.4-58.841.20.6127.4-0.38241.443-45.308086.19863.66228.54-259.3171,105.874161.58596.49232.655-428.1-64.5-60.6-23.1-42.4
Kasstroom uit Investeringsactiviteiten -534.5-627-666.3-407.5-657.4-424.5-284.5-245-1,129.8-876.9-226.2-178.8-24.6-125.9-133-401,184.559.3-104.298-205.841-188.5510-399.34-757.304-614.859-1,781.459366.514-451.343-705.557-234.816-532.8-141.6-147.6-58.9-60.6
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000000000000000000000
Uitgifte van Gewone Aandelen 07.36.11,322.515.9403.847.43352,1901,071.3227.5410000150.2040013.98400031.80914.7884.37160.20459.02432.807338.88714.42800000
Terugkoop van Gewone Aandelen -8.2-7.3-6.1-6.1-62.5-65.6-57.9-65.6-45.3-43.1-236.9-46000000-0.044-0.159000-2.02-256.691-17.89000000000
Uitgekeerde Dividenden -60.4-99-112.2-111.9-108.7-100.8-91.5-83.8-80.3-72.1-38.7-24.6-26-26-58.7-26-26-15.7000000000000-0.90000
Overige Financieringsactiviteiten -121.7703.3203.6-234.6-256.6-130.1-8.3-38.8-81.1-53.2-39.7-46.1513.7576.5317.6-300.2-1,410.6-459.6-187.772165.3668.21201,831.153,079.6821,379.8626,874.4851,691.429154.563593.239548.43746498.3142.864.269.7
Kasstroom uit Financieringsactiviteiten -265.5-145.7-240.1-145.948.2-321.2-359.9-381.6639.9434.2-312.4-130-336.4-237.7-224.3-176-1,436.6-75.3-173.832-224.729-110.3380-174.78811.457-99.0791,121.162-784.3683.108515.238100.384463.198.3142.864.269.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -866.8000000000000000.80.10.1-1.2481.251-0.05000000-3.63700480.5110.4121.930.857
Netto Kasstroomverandering 50.8-66.9-190.6151.326.116.713.9-21.1-5.12.2-68.3102.7-18.3-32.648.812-21.3-136.3-277.817-15.404382.054096.26650.917-9.427-24.165-1.998-4.21626.963-2.382463.198.3142.864.269.7
Kaspositie aan het Einde van de Periode 104.253.4120.3310.9159.6133.554.440.561.666.764.5132.830.148.480.932.219.840.6175.497453.769472.7810276.583180.317129.4138.827148.073148.028104.89665.949533.9181.2204.992.885.5