EQT Corporation

NYSE:EQT

42.99 (USD) • At close December 20, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 1,734.5441,780.942-1,154.513-967.176-1,221.695-2,007.1581,858.142-131.063321.886510.99437.815196.411479.769227.7156.929255.604257.483220.286260.055279.854173.557150.626151.808106.17369.1-35.978.159.41.560.773.56064.258.950.9
Afschrijvingen & Amortisatie 1,749.0851,698.6071,742.9381,456.8851,597.9571,807.1131,088.499927.92819.216679.298676.57499.1180243.283187.0920109.802100.12293.52784.73879.81869.44875.04197.777123.889.595.182.4104.693.376.965.954.647.242.5
Uitgestelde Inkomstenbelasting 384.666534.612-433.608-155.84-275.063-510.405-1,050.612-180.26117.87632.021110.36395.185234.019153.912234.776245.80132.3864.642-125.2141.15164.28442.86962.3454.51914.6-29.525.326.1-74.3-5.10.8-24.82.34.9
Aandelen Gebaseerde Vergoedingen 49.83445.20128.16919.55231.23325.18994.59244.60558.62942.12352.61840.2320.0814.1046.76800000000000000000000
Verandering in Werkkapitaal 383.632-99.229-366.708139.17819.536-119.495-10.664-173.12465.5617.3776.678-24.07177.584127.45129.227-135.75180.263252.431-394.2-143.695-155.723-22.063-67.485130.938-43.6-19.2-45-103.3127.5-15.6-38.610.3-11.138.7-12.3
Vorderingen 867.679-168.978-699.992-36.296432.323-439.062-8.979-165.507131.031-70.392-44.818-48.36422.075-6.3366.327-33.3770000000000000000000
Voorraden 00-75.1-68.628-167.281-117.18800015.51130.0943.2771.11745.10473.181-4.697-14.35720.793-85.296-45.283-84.73821.71-11.199-35.853000-15.55.32.3-5.83.321.56.2
Crediteuren -406.113181.459456.988-29.193-238.674457.113-16.6840.548-37.62330.3553.52732.27542.262-36.853-107.74577.4750000000000000000000
Overig Werkkapitaal -77.934-111.71-48.604273.295-6.832-20.35814.995-48.165-27.84731.90137.879-51.25912.13125.52997.464-175.151194.62231.638-308.904-98.412-70.985-43.773-56.286166.791-43.6-19.2-45-87.8122.2-17.9-32.87-13.137.2-18.5
Overige Niet-Contante Posten -1,122.911-494.5731,846.171,045.1021,699.7363,781.012-342.259576.243-66.228142.94-153.64613.994103.81223.29110.949143.502-15.334-18.193-35.864-181.629-35.655-27.86314.8661.2290.2-24.5-0.1-0.10.20.2-3.30.30.6-1.91.8
Kasstroom uit Operationele Activiteiten 3,178.853,465.561,662.4481,537.7011,851.7042,976.2561,637.6981,064.321,216.941,414.7421,200.398820.867915.264789.74725.741509.157426.72619.288-311.962176.363121.03213.017129.869361.153173.464.5114.265.6279.8135.1109.3134.5113.1145.287.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,019.037-1,427.316-1,055.128-1,042.231-1,602.454-3,731.764-2,758.159-2,590.733-2,434.018-2,451.656-1,800.899-1,399.385-1,274.28-1,250.985-963.908-1,343.996-776.667-404.536-275.798-202.351-221.499-218.494-132.679-123.727-142.1-170.5-252.9-110.3-118.1-146.2-339.4-99.6-235.2-101.4-89.2
Netto Overnames -2,271.881-205.347-1,030.239-691.9420-820.943-1,719.822-85.866-74.45900001,250.985-6.4-29217.035000000-677.23500000000000
Aankoop van Beleggingen 001,055.1281,042.2310-820.9432,758.159-288.77200000-0.75-3-3-9.709-2.471-4.00900-17.5920000000000000
Verkoop/verval van Beleggingen 0189.24924.36952.32300283.7583.89000029.94712.306963.9081,343.9967.29500001.4940000000000000
Overige Investeringsactiviteiten -22.73721.661-1,066.872-916.1811.312573.603-2,691.006-98.399-17.137.444763.5874.842619.999-1,250.985-976.12-1,343.996-28.092-0.724627.55344.4527.16366.9266.918437.954-14.5338.2181.54.224.61.21.36.90.90.57.1
Kasstroom uit Investeringsactiviteiten -4,313.655-1,421.753-2,072.742-1,555.8-1,601.142-3,979.104-4,127.07-2,961.481-2,525.607-2,444.212-1,037.312-1,394.543-624.334-1,239.429-985.52-1,375.996-590.138-407.731347.746-157.899-214.336-167.666-125.761-363.008-156.6167.7-71.4-106.1-93.5-145-338.1-92.7-234.3-100.9-82.1
Financieringsactiviteiten:
Schuldaflossingen 234.16482.961545.664-216.262-211.5742,175.6241,897.137195.881129.996488.838-23.204-219.315680.89348.65380.783340.588333.33-232.301209.80175.399189.39153.12768.19594.78116.8-245.276.564.4-14156.5155.28.4145.60.321.6
Uitgifte van Gewone Aandelen 000340.9237.224001,443.1011,855.966902.467529.442276.780537.2060560.7393.19834.91026.77638.41906.8559.03902.56.62.32.81.8112.41.4310.9
Terugkoop van Gewone Aandelen -201.029-409.485-12.9220-7.224-538.903-0.03-0.03-3.375-32.36800000000-122.25-118.472-55.235-97.028-61.203-29.483-94.6-37.7-28.60-0.2-0.40-0.2-6-90
Uitgekeerde Dividenden -228.339-203.6290-7.664-30.655-31.375-20.827-20.156-18.31-18.207-18.094-131.803-131.625-127.292-115.368-111.403-107.086-104.871-99.737-89.364-60.419-41.809-40.356-38.49-40.4-43.8-42.7-41.5-41.1-39.7-35.3-32.6-31.3-28.4-27.1
Overige Financieringsactiviteiten -47.658-168.973-26.695-85.2840-746.326-343.133-219.327-131.807-79.47212.356-1.182-8.947-8.875-5.636-4.79615.68715.73951.36876.6390000171250.1-0.1000-15.5000
Kasstroom uit Financieringsactiviteiten -242.862-699.126506.04731.713-249.453859.021,533.1471,399.4691,832.471,261.258500.5-75.52540.321449.689259.779785.128245.129-286.52339.182-55.798112.892-57.225-26.50935.847-101.2-199.211.925.1-179.518.2232.3-38.5111.3-36.1-4.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000-290.9300866.839163.418-211.557-35.784-18.4640000000-0.100.1228.8-41.8121.2-44.3-5.7
Netto Kasstroomverandering -1,377.6671,344.68195.75313.6141.109-143.828-956.225-497.692523.803231.788663.586-649.196540.32100785.128245.129-286.52339.182-55.79819.586-11.874-22.40133.992-84.43354.7-15.56.88.4232.3-38.5111.3-36.1-4.6
Kaspositie aan het Einde van de Periode 80.9771,458.644113.96318.214.5963.487147.3151,103.541,601.2321,077.429845.641182.055831.25100866.83981.711-211.55774.966-18.46437.33417.74829.62252.02318102.469.414.730.223.4243.9-30.2129.5-264.3