Franklin Electric Co., Inc.

NASDAQ:FELE

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

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

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Operationele Activiteiten:
Nettowinst 194.734188.811154.975101.15795.999105.51778.59379.31573.69170.85282.69883.73863.72339.97226.72444.11128.68356.99846.00938.08334.4832.20427.1522.22626.824.825.521.515.518.716.113.61311.38.3
Afschrijvingen & Amortisatie 52.2650.37444.57236.48836.97738.60438.50635.53435.47637.2131.35628.33525.29524.0425.38524.16420.35917.98914.97115.14313.74812.87812.6610.8397.57.57.68.48.96.44.2444.14
Uitgestelde Inkomstenbelasting -1.609-1.230.126-4.268-2.566-5.16410.1982.978-6.802-2.4151.7078.5713.8679.699-1.54312.3950.913-9.9330.2841.2193.1170.6642.916-0.0340.7-1.6-0.9-0.1-2.100-0.1-0.2-0.41
Aandelen Gebaseerde Vergoedingen 10.13310.97311.73110.0668.9578.457.1096.8895.6267.4714.8756.2533.974.2734.97600000000000000000000
Verandering in Werkkapitaal 29.472-173.181-90.96754.07924.078-19.989-56.723-9.036-7.144-65.656-22.079-41.2771.15814.37553.904-40.081-50.278-8.23413.1382.875-4.28814.602-6.48-14.5581.10.5-71.1-6.82.90.2-0.3-0.86-7
Vorderingen 19.15-44.8-31.92522.0531.076-8.1949.948-21.3343.444-29.064-16.729-9.60300000000000000000000000
Voorraden 48.176-101.08-123.07613.14417.228-4.775-46.372-7.6369.35-32.782-7.612-23.7063.92313.41643.884-15.611-29.092-10.978-10.642-1.167-2.147.434-0.697-2.516-6.1-4.1-3.12.2-7.6-2.42.4-1.1-4.20.8-2.4
Crediteuren -23.085-12.28389.03820.5196.771.677-11.07111.782-19.74422.8522.126000000000000000000000000
Overig Werkkapitaal -14.769-15.018-25.004-1.637-0.996-8.697-9.2288.152-0.194-26.6620.136-17.571-2.7650.95910.02-24.47-21.1862.74423.784.042-2.1487.168-5.783-12.0427.24.6-3.9-1.10.85.3-2.20.83.45.2-4.6
Overige Niet-Contante Posten 30.7225.9279.32614.33214.2311.017-10.929-0.306-2.584-0.113-0.283-15.4291.9080.4343.1393.6833.7623.206-0.4120.187-0.582-2.9231.6970.275-0.1-0.2-3.200-0.42.5-10.20.22.9
Kasstroom uit Operationele Activiteiten 315.71101.674129.763211.854177.676128.43566.754115.37498.26347.34998.27470.19199.92192.793112.58544.4484.23955.38974.16457.50746.96457.85339.92318.74836.1312230.915.527.62318.317.621.89.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -41.415-41.903-30.116-22.856-21.855-22.432-33.484-39.136-26.171-35.525-67.848-40.056-23.062-11.887-12.039-25.641-28.281-23.19-17.845-21.11-15.261-15.568-6.709-14.108-13.7-24.6-8.6-6.2-6.1-7.6-6.4-5.8-4.3-3.1-4
Netto Overnames -33.337-1.186-235.701-55.915-20.827-44.971-51.783-1.007-3.888-42.315-9.213-64.359-32.199-11.785-16.767-38.38-35.29-144.735-8.509-9.3070-30.3440-17.6870.10.135.60.30000000
Aankoop van Beleggingen 000000000-6.716-5.71.053000-9-420.575-63.5-236.773000.02-2.999-2.915-27.7-48.6-64.5-52.90000000
Verkoop/verval van Beleggingen 0000000008.3245.5470.4890009420.57599.488200.785002.999011.88346.669.247.621.20000000
Overige Investeringsactiviteiten 0.4630.0151.012-0.040.8761.1110.5666.3741.816-1.490.7621.233-10.4941.330.068-0.9440.3440.343-1.1110.019-0.193-14.312-0.448-2.768-5.3-7.5-0.5-0.5-0.51.92.31.6-60.30.4
Kasstroom uit Investeringsactiviteiten -74.289-43.074-264.805-78.811-41.806-66.292-84.701-33.769-28.243-77.722-76.452-101.64-65.755-22.342-28.738-64.965-63.227-131.594-63.453-30.398-15.454-57.205-10.156-25.595-0.1-11.49.6-38.1-6.6-5.7-4.1-4.2-10.3-2.8-3.6
Financieringsactiviteiten:
Schuldaflossingen -115.52928.93694.716-21.073-90.943-18.9851.882-30.38543.576-18.82325.045-4.436-0.076-1.218-36.21223.76498.57248.704-1.047-1.553-13.2297.15-0.802-1.058-3.41.30.1-0.1-14.6-9.94.5-0.9-0.2-0.311.3
Uitgifte van Gewone Aandelen 9.1933.85915.5243.7213.1948.9994.4975.2432.052.92914.06815.4328.915.0150.6663.4465.03810.1214.2984.114.755.9451.0591.5411.91.81.80.81.40.10.31.90.80.10
Terugkoop van Gewone Aandelen -43.332-40.49-25.949-19.553-10.741-34.188-3.621-7.422-48.579-10.61-12.364-21.689-13.91-7.2420-7.816-8.118-0.198-13.775-3.091-9.782-10.517-14.157-8.351-20.1-26-30.600-9.60-10.9-5.5-2.3-35.7
Uitgekeerde Dividenden -41.723-36.991-33.398-29.675-27.671-22.612-20.289-19.137-18.926-17.421-15.294-13.811-12.89-12.334-11.89-11.369-10.834-9.833-8.447-6.815-5.946-5.505-5.122-4.685-4.2-3.8-3.4-2.9-2.4-1.9-1.5-1.6-2.9-3.5-2.6
Overige Financieringsactiviteiten -0.802-3.78600-0.4870-5.0470-19.268-0.412-0.4025.2462.4951.3210.1440.8562.3825.97500.2320.2330.23200.233-0.20.60.3-0.30.100.1-3-0.20.10
Kasstroom uit Financieringsactiviteiten -192.193-48.47250.893-66.58-126.648-66.786-22.578-51.701-41.147-44.33711.053-19.258-15.471-14.458-47.2928.88187.0454.768-8.971-7.117-23.974-2.695-19.022-12.32-26-26.1-31.8-2.5-15.5-21.33.4-14.5-8-5.9-27
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -10.055-4.874-6.102-0.081-3.99-3.4173.427-7.134-6.453-0.702-1.660.708-5.428-2.7983.386-6.6823.2443.257-0.2080.652.2931.430.3740.9540.80.30.50.6-0.2-0.90.60.20.10.1-3.8
Netto Kasstroomverandering 39.1735.254-90.25166.3825.232-8.06-37.09822.7722.42-75.41231.215-49.99913.26753.19539.941-18.31831.296-18.181.53220.6429.829-0.61711.119-18.21310.8-6.20.3-9.1-6.8-0.322.9-0.2-0.613.2-25.2
Kaspositie aan het Einde van de Periode 84.96345.7940.536130.78764.40559.17367.233104.33181.56159.141134.553103.338153.337140.0786.87546.93465.25233.95652.13650.60429.96220.13320.759.63127.81723.32332.138.839.116.316.5170