Enerpac Tool Group Corp.

NYSE:EPAC

41.46 (USD) • At close September 18, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 53.64919.59140.2125.5578.067-21.648-66.213-105.17419.872163.57330.04887.29111.55924.03113.723122.544104.95292.58871.25123.8928.96625.25224.35566.50479.39726.68742.03833.72920.08516.8963.3-24.57.819.619.8
Afschrijvingen & Amortisatie 16.31319.621.61120.7220.21740.70743.1147.77753.23960.63553.90254.26352.99651.87556.50944.70938.38729.24423.71818.0216.55614.69818.91522.5576.6947.5723.66321.07818.45619.40615.814.819.919.98.7
Uitgestelde Inkomstenbelasting 0.46-5.2919.639-7.8193.955-6.89-8.956-17.403-13.939-7.273-44.265-10.5246.48-2.876-17.8475.9128.3411.3913.7672.6314.1151.3711.1070.3246.453-8.508-1.274-1.588-2.707-0.789-3.9-0.5-0.61.81
Aandelen Gebaseerde Vergoedingen 8.57413.6199.2159.62410.88214.45716.73310.44212.04617.11513.4413.34610.7588.3998.6096.8475.4753,1614.4430000000000000000
Verandering in Werkkapitaal 2.458-11.678-22.711-11.33-24.7531.115-8.546-3.982-29.305-81.325-20.421-28.754-24.780.73841.693-9.71121.137-6.594-6.276-2.904-0.606-11.74969.5413.513-15.71718.4280.403-20.405-16.93-13.035-93.27.8-31.5-19.3
Vorderingen 5.169-23.753-19.11344.749-4.993-3.093-3.47520.26112.8271.336-10.925-12.31-2.564-14.50787.052-13.929-2.261017.2094.3541.5400000000000000
Voorraden 4.539-16.036-5.8578.96-7.76-18.704-11.27710.2026.608-21.91513.71411.532-29.909-7.96457.963-5.697-4.9-17.937-3.046-7.5495.6452.511.15-8.515-14.27410.6966.121-14.219-8.17-7.182-9.6810-11.1-11.8
Crediteuren -21.8679.65816.695-32.0816.8582.59318.117-7.727-19.801-19.832-9.2795.9027.15832.727-61.9327.58614.740-0.9443.731-2.23300000000000000
Overig Werkkapitaal 14.61718.453-14.436-32.958-18.85820.319-11.911-26.718-28.939-40.914-13.931-33.8780.535-9.518-41.392.32913.55811.343-19.495-3.44-5.558-14.24958.39112.028-1.4437.732-5.718-6.186-8.76-5.8530.6-4.8-2.2-20.4-7.5
Overige Niet-Contante Posten -3.85115.895-3.783-19.91135.47778.352111.719186.03787.055-27.491161.08566.70814.55338.91944.028-0.204-1.182-3,155.4680.096.3240.3880.169-18.7751.9233.56645.49004.9209.7340.10.9-8.3
Kasstroom uit Operationele Activiteiten 77.60351.73654.183-3.15953.845106.09387.847117.697128.968125.234193.789182.329171.566121.086146.715170.097177.11122.16196.99347.96149.41929.74195.143114.733150.389129.66764.8332.81423.82422.47812.12733.110.71.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -9.4-8.417-12.019-13.468-26.755-20.87-28.195-20.209-22.516-41.857-23.668-22.74-23.096-19.966-21.454-44.407-31.491-19.705-15.442-10.935-12.671-10.044-6.709-11.441-65.902-56.827-22.641-22.734-15.986-15.153-11.5-9.3-11.2-16.8-9.3
Netto Overnames 20.0571.17622.409-23.07236.159-42.0340.57-72.2210259.09-234.187-70.267-309.993-38.35-200.967-110.109-162.981-128.767-384.176-65.1-9.174-0.785-11.250-409.211-426.046-75.015-33.949-2.758000000
Aankoop van Beleggingen 0000000000000000000000000000000000-5.6
Verkoop/verval van Beleggingen 0000000000000000000000000000000005.90
Overige Investeringsactiviteiten 0.6851.1762.911212.6131.6420.1530.579.2961.24444.2741.6218.5011.7791.2361.86214.0654.571.4873.70714.6011.1096.07746.026118.05814.45530.9023.5966.0670.7761.4842.6-712.2-13.3-82.1
Kasstroom uit Investeringsactiviteiten 11.342-7.24113.301176.07311.046-62.751-27.625-83.134-21.272261.507-256.234-84.506-331.31-57.08-220.559-140.451-189.902-146.985-395.911-61.434-20.736-4.75228.067106.617-460.658-451.971-94.06-50.616-17.968-13.669-8.9-16.31-24.2-97
Financieringsactiviteiten:
Schuldaflossingen -258.25-60-90-602.559-272.5-30-19.25-3.96-15.316-125-7.5-252.602-0.034-37.207-279.15800000000000000000000
Uitgifte van Gewone Aandelen 26900398.092201.9006.416218.99132.224158.261252.7460008.02902.65136.6811.7251.726100.9590.5793.8385.4526.8552.8671.5514.2191.87900.100.30.3
Terugkoop van Gewone Aandelen -57.662-75.1120-27.52-22.481-1.284-1.065-17.101-212.003-283.712-41.832-63.08300000000000000000000-0.800
Uitgekeerde Dividenden -2.274-2.409-2.394-2.419-2.439-2.39-2.358-2.376-2.598-2.919-2.911-2.748-2.716-2.702-2.251-2.221-2.187-2.16400000-1.789-2.339-2.564-1.654-1.622-1.602-1.569-1.6-1.6-2-1.6-1.6
Overige Financieringsactiviteiten -3.94485.31910.878-4.52-3.99714.3977.11-1.409-2.025-1.585-3.861-5.49161.2423.315251.362-0.76974.36439.351166.49512.913-29.029-149.438-106.897-238.772323.586293.33834.28418.039-9.875-15.549-3.3-10.4-340.6114.3
Kasstroom uit Financieringsactiviteiten -53.13-52.202-81.516-238.926-99.517-17.993-14.498-18.43-12.951-380.992102.157-71.177158.492-36.594-30.0475.03972.17739.837303.17614.638-27.303-48.479-106.318-236.723326.699297.62935.49717.968-7.258-15.239-4.9-11.9-36.8-0.7113
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -2.099-11.9462.2147.031-4.713-4.434.243-5.375-34.911-0.723-3.91-2.6835.2511.425-7.2731.1841.6360.290.0650.2750.17-0.021-0.2344.344-0.521-0.882-1.422-0.0760.4060.132-0.40.6-0.20.9-0.3
Netto Kasstroomverandering 33.716-19.653-11.818-58.981-39.33920.91949.96710.75859.8345.02635.80223.9633.99928.837-111.16435.86961.02115.3034.3231.441.55-23.51116.658-11.02915.909-25.5574.8450.09-0.996-6.298-2.1-0.6-2.9-13.317.6
Kaspositie aan het Einde van de Periode 154.415120.699140.352152.17211.151250.49229.571179.604168.846109.012103.98668.18444.22140.22211.385122.54986.6825.65910.3566.0334.5933.04326.5547.25622.2586.3495.8461.001-0.9961.9070.933.66.619.9