Eagle Materials Inc.

NYSE:EXP

311.55 (USD) • At close November 7, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 477.639461.54374.247339.44470.89468.86256.632198.219152.592186.853124.24357.74418.73214.84928.9541.76497.768202.664160.984106.68766.90157.60639.70659.429108.23277.356.541.833.921.810.2
Afschrijvingen & Amortisatie 149.832138.554128.811129.087113.518122.535114.01591.79197.10576.29970.02156.8550.12449.21250.78151.23244.8540.0438.59934.49633.02236.79135.80824.87118.58916.215.913.813.814.614.5
Uitgestelde Inkomstenbelasting 7.9534.4756.38359.31975.987-28.371-49.3542.203-2.3235.8055.7466.1552.1888.4971.2015.7691.414-2.4370.88817.94221.82628.74821.22923.3770.1662.93.44.57.62.71.9
Aandelen Gebaseerde Vergoedingen 19.917.15514.26415.29319.82315.10914.07912.06917.34613.0310.1369.0025.5093.5872.8259.1925.94902.82000000000000
Verandering in Werkkapitaal -66.805-71.524-7.397162.574-96.103-43.79914.21230.309-17.359-37.531-31.3855.156-8.855-40.761-21.513-21.192-46.1494.541-13.717-5.919-11.302-5.63223.9-5.697-8.36-4.3102.8-2.82.2-0.2
Vorderingen -0.551-12.035-29.2092.127-25.005-241.122-284.253-167.847-263.972-169.35-203.315-10.45-12.8752.422-7.36123.063-12.1740-23.109-33.194-26.0930000000000
Voorraden -67.232-47.946-0.91230.00226.729-19.016-5.114-6.636-5.74-38.741-32.714-14.186-8.369-9.3661.192-8.346-19.809-11.109-4.317-6.9480.248-4.0341.788-2.805-5.552-0.5-1.101.1-21.9
Crediteuren 13.794-7.79727.1929.54117.265-31.94924.17333.687-7.061-11.4996.50424.613.327-29.418-16.026-33.944-10.658011.71114.4371.9360000000000
Overig Werkkapitaal -12.816-3.746-4.468120.904-115.092248.288279.406171.105259.414182.059198.145.1829.062-4.3990.682-1.965-3.50815.651.99819.78612.607-1.59822.112-2.892-2.808-3.811.12.8-3.94.2-2.1
Overige Niet-Contante Posten 348.972-8.4740.863-62.644215.182215.95102.096-2.99318.406-10.335-8.128-10.5-6.8468.6992.322-7.380.921.38-1.3283.9962.2383.15000-0.12.300.1-0.10.1
Kasstroom uit Operationele Activiteiten 563.938541.726517.171643.073399.301350.284337.665331.598265.767234.121170.633124.40760.85244.08364.56679.385104.752242.423188.246157.202112.685120.663120.643101.98118.62792.788.162.951.841.226.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -120.305-110.143-74.121-53.933-132.119-168.873-131.957-56.938-89.563-111.573-59.49-53.011-26.099-17.224-13.779-16.078-96.857-136.869-72.929-22.373-12.427-14.29-19.024-16.25-28.019-33.8-13.1-5.9-15.3-5.7-8.2
Netto Overnames -55.053-158.451091.022-699.3612.281-36.761-400.488-32.427-237.1710-453.420000000-72000-342.20000000
Aankoop van Beleggingen 00000000000000000-15.250000000000000
Verkoop/verval van Beleggingen 0000000000000000000000000000000
Overige Investeringsactiviteiten -55.053-158.451091.0220.42.281-36.761-400.488-32.427-237.1710-453.4200.603.996-96.857001.3820.743.4140.85501.94615.5-565.300
Kasstroom uit Investeringsactiviteiten -175.358-268.594-74.12137.089-831.08-166.592-168.718-457.426-121.99-348.744-59.49-506.431-26.099-16.624-13.779-12.082-96.857-152.119-72.929-92.991-11.687-10.876-18.169-358.45-26.073-32.8-7.6-61.9-10-5.7-8.2
Financieringsactiviteiten:
Schuldaflossingen -3-50.5-1,023.407-560-36.5-70-81.214-165-57.045-9.5-108-4.677-88.064-160-95-2000-115.2000000-0.1000-8.30
Uitgifte van Gewone Aandelen 17.0985.41821.36640.455918.2982.10324.264372.10854.866145.31114.187154.83275.1380003.4973.0452.0133.51113.5075.680.3010.5071.1483.86.70.60.3153.70
Terugkoop van Gewone Aandelen -353.697-393.825-595.05-4.186-317.95-276.335-66.052-64.481-127.803-4.166-2.913-3.569-0.912000-176.895-100.376-165.335-43.754-3.137-8.1350-6.198-43.233-71.9-23.5-150-0.40
Uitgekeerde Dividenden -35.298-37.496-30.77-4.163-17.142-18.927-19.438-19.341-20.02-20.072-19.899-18.533-17.876-17.634-17.471-30.441-35.6-34.665-21.312-22.203-116.58-3.683-3.671-3.69-3.865-4.2-4.4-4.50-162.60
Overige Financieringsactiviteiten 17.098199.097935.707-2.396-4.8814039.2643.7124.1024.0828.067251.3871.5686.633-49.69856.976402.8484.141232.0621.921.953-101.453-96.448178.428-0.080.1-2.11.9-23.8-17.7-18.9
Kasstroom uit Financieringsactiviteiten -368.897-277.306-692.154-530.29541.826-223.159-127.44126.998-145.9115.655-108.558379.44-30.146-27.001-67.169-68.465-6.15-127.855-67.772-60.526-104.257-107.591-99.818169.047-46.03-72.3-23.3-17-23.5-35.3-18.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000-41.8-35.5-18.3
Netto Kasstroomverandering 19.683-4.174-249.104149.872110.047-39.46741.5071.17-2.1231.0322.585-2.5844.6070.458-16.382-1.1621.745-37.55147.5453.685-3.2592.1962.656-87.42346.524-12.457.2-16-23.5-35.3-18.9
Kaspositie aan het Einde van de Periode 34.92515.24219.416268.52118.6488.60148.0686.5615.3917.5146.4823.8976.4811.8741.41617.79818.9617.21554.7667.2213.53613.59911.4038.74796.1749.7624.8-21-33-15.9