Franklin Covey Co.

NYSE:FC

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

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

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Operationele Activiteiten:
Nettowinst 17.78118.4313.623-9.435-1.023-5.887-7.1727.01611.11618.06714.3197.8414.807-0.518-10.8325.8487.62928.57310.186-10.15-45.253-100.585-11.083-4.409-8.842.138.934.238.730.923.424.510.8
Afschrijvingen & Amortisatie 9.44711.08212.19911.60111.35910.5257.4436.9437.8757.3266.1315.6987.1077.4298.0389.53310.0310.28914.7317.81432.93842.05247.87348.5143.538.623.616.211.76.34.32.71.8
Uitgestelde Inkomstenbelasting 4.7480.121-9.799.094-1.051-2.535-5.5941.8543.665-0.679-1.7392.7082.0922.406-5.4764.1525.274-15.435-0.410.623-1.322-16.1520.6371.562-10.50.60000000
Aandelen Gebaseerde Vergoedingen 12.528.2868.617-0.5734.7892.8463.6583.1212.5363.5343.5893.8352.7881.0990.468000000000000000000
Verandering in Werkkapitaal -11.84910.91317.8912.97610.095.61817.3818.276-4.295-8.892-7.743-6.372-2.891-4.4584.886-6.322-9.722-7.261-1.8422.83215.6819.904-1.85412.459-6.1-7-17.7-5.7-9.6-6.8-11.9-0.7-7.3
Vorderingen -9.452-2.406-14.26617.142-1.77-5.6790.164-0.576-4.355-9.548-15.171-5.81-1.288-7.5975.196000000000000000000
Voorraden -0.692-1.0480.4630.552-0.260.1571.583-0.9082.239-2.136-0.3580.0960.3820.6062.172.853-2.427-0.8452.81313.2622.3433.4138.3033.943-128.1-1.11.9-5.3-12.6-8.5-6.1-4.9
Crediteuren -10.3164.35814.372-5.4642.9321.7460.6762.264-3.2523.6466.173-0.998-2.0941.827-1.232000000000000000000
Overig Werkkapitaal 8.61110.00917.3210.7469.1889.39414.9587.4961.073-0.8541.6130.340.1090.706-1.248-9.175-7.295-6.416-4.655-10.4313.33716.491-10.1578.5165.9-15.1-16.6-7.6-4.35.8-3.45.4-2.4
Overige Niet-Contante Posten 3.0913.4223.6383.96.2886.2941.6415.4555.293-1.2320.9711.8521.741.0668.1981.2241.3940.843-0.40203.75947.760.147-8.0560.1-0.10.90.70.20.60.2-2.65.3
Kasstroom uit Operationele Activiteiten 35.73852.25446.17727.56330.45216.86117.35732.66526.1918.12415.52815.56215.6437.0245.2827.82813.35817.00922.26211.1195.802-7.02135.7250.6233674.145.745.440.8311623.910.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -13.55-5.331-4.106-9.265-6.841-9.526-14.403-6.229-4.612-11.257-5.398-4.392-5.423-1.384-2.275-8.206-14.226-8.36-4.179-3.97-4.201-10.594-27.027-24.523-42-56-20.2-19.5-32.7-24.6-13-9.1-4.4
Netto Overnames 00-10.2090-0.032-1.108-7.2720-0.262-6.167-4.1850-5.411-3.256-0.9561.180.1500.50-10-4.432-21.444000000000
Aankoop van Beleggingen 000000000000000000-10.653000000000000-9.80
Verkoop/verval van Beleggingen 00000000000000000021.383000000000009.800
Overige Investeringsactiviteiten -9.035-2.154-2.504-2.6-2.688-2.998-7.216-2.236-2.166-7.787-3.224-2.11302.6380.02825.5462.5960.093-2.1841.5562.426163.115.0967.0321.312.2-59.8-7.4-6.8-31-2.6-0.10.9
Kasstroom uit Investeringsactiviteiten -13.55-5.331-14.315-11.865-6.873-10.634-21.675-6.229-4.874-17.424-9.583-4.392-10.834-2.002-3.20318.52-11.48-8.2674.867-2.414-2.775152.506-16.363-38.935-40.7-43.8-80-26.9-39.5-55.6-5.8-18.9-3.5
Financieringsactiviteiten:
Schuldaflossingen -13.728-8.722-7.6-22.205-108.524-94.549-36.605-48.863-1.302-36.486-3.73-11.71-77.667-59.873-65.3060-15.394-1.111000-105.041000000000-1.90
Uitgifte van Gewone Aandelen 1.5391.3361.0731.0460.9750.8080.6820.6790.6890.6140.4950.4350.3280.4470.2840.4620.3880.4270.1090.1540.2360.5021.04210.16176.83.631.32.213.27.257.40
Terugkoop van Gewone Aandelen -35.555-23.85-2.971-13.971-0.012-2.006-5.431-43.586-14.427-4.381-1.309-0.44-0.218-0.05-28.270-39.97-25.167-30.091-0.182-0.131-0.073-7.455-5.483-32.7-57-36.4-28.1-2.700-0.8-3.3
Uitgekeerde Dividenden 0000000000000000-2.215-4.885-9.02-8.735-8.735-4.367-6.084-5.9770000000-14.8-3.5
Overige Financieringsactiviteiten 11.065-1.434-1.98138.443203.911184.45988.808120.6890.13773.1390.7658.52372.46255.85977.044-16.62130.8150.83333.045-0.102-0.185-4.894-12.506-16.706-41.831.864.1-2.4-15.5-2.4-2.2-0.52.1
Kasstroom uit Financieringsactiviteiten -44.179-32.67-11.479-16.557-5.932-4.6793.134-32.535-14.903-2.445-3.834-3.192-5.095-3.617-16.248-16.159-26.376-29.903-5.957-8.865-8.815-113.873-25.003-18.0052.3-21.630.7-29.2-1610.8539.4-4.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.296-1.153-0.1030.297-0.101-0.319-0.3480.321-0.662-0.063-0.8310.017-0.1820.391-0.047-0.4110.0370.058-0.6560.1480.6550.573-0.7320.7781.4-1.334.3-0.2-1.324.6-10.2-5-7.1
Netto Kasstroomverandering -22.28713.120.28-0.56217.5461.229-1.532-5.7785.751-1.8081.287.995-0.4681.796-14.2169.778-24.461-21.10320.516-0.012-5.13332.185-6.378-5.539-17.430.7-10.9-1610.8539.4-4.7
Kaspositie aan het Einde van de Periode 38.2360.51747.41727.13727.69910.1538.92410.45616.23410.48312.29111.0113.0163.4841.68815.9046.12630.58751.6941.90441.91647.04914.86421.24226.827.854.724.133.774.353.443.5-3