Full House Resorts, Inc.

NASDAQ:FLL

4.98 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 73.79456.58988.72137.69828.85120.63419.9127.03814.57415.63914.93620.60314.70713.2949.1985.3057.97622.1173.2752.4661.9421.1640.8670.4550.41.12.410.60.46.5
Kortetermijnbeleggingen 0000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 73.79456.58988.72137.69828.85120.63419.9127.03814.57415.63914.93620.60314.70713.2949.1985.3057.97622.1173.2752.4661.9421.1640.8670.4550.41.12.410.60.46.5
Nettovorderingen 5.3324.0824.6934.9042.2062.0351.761.9091.7144.6681.8692.6574.8652.8756.4850.5980.32000.0430.1250.1870.210000.50.611.30.10.1
Voorraad 1.8391.4791.661.5112.2921.4251.6921.3291.1252.1056.2887.8543.2380.8980.5090.7980.3520000000000.10.10.10.10.1
Overige vlottende activa 3.6746.184180.2982.4614.342.8992.8492.8095.8690.7280.7261.2250.4040.1070.0910.1437.1330.1910.1190.180.1110.1070.0940.0930.20.31.310.30.10.2
Totaal vlottende activa 84.639202.921275.37246.57437.68926.99326.21133.08523.28223.1423.81932.33923.21417.17516.2826.84315.7822.3093.3942.6892.1781.4581.1710.5480.61.44.32.712.30.76.9
Niet-vlottende activa:
Materiële vaste activa, netto 504.929358.636165.354133.133140.658122.076114.058111.46598.98295.0491.16883.67338.6687.3727.9628.639.2270.133.9893.8590.0130.0240.0230.0470.10006.69.53.8
Goodwill 21.28621.28621.28621.28621.28621.28621.28621.28616.4816.4818.12722.1277.45610.30910.30910.30910.30900000000000000
Immateriële activa 76.27110.86910.89610.96311.05611.14510.93610.9662.1276.03219.09123.26511.72113.24515.61716.79614.7615.165.0884.9280000.380.91.41.92.42.900
Goodwill en immateriële activa 97.55732.15532.18232.24932.34232.43132.22232.25218.60722.51237.21845.39219.17623.55325.92627.10425.075.165.0884.9280-0.02800.380.91.41.92.42.900
Langetermijnbeleggingen 00-1.055-0.62-0.7120.092-2.0920-0.0550-3.55801.8980.3260.2945.068-0.3590-189.064000.028000000000
Belastingvorderingen 18.5781.0241.0550.620.7124.8982.0920.0420.0550.0741.3211.020.6460.1010.1360.0470.3590.159189.0640.4590.6260.7121.37600000000
Overige niet-vlottende activa 1.3320.5930.9340.660.646-4.2180.9940.4041.8990.1784.3190.30111.0157.9230.9850.77613.04712.3984.4681.9968.6298.9538.89412.47812.312.711.5124.212.4
Totaal niet-vlottende activa 622.396392.408198.47166.042173.646155.279147.274144.163119.488117.804130.468130.38671.40439.27635.30341.62547.34417.84713.54411.2429.2689.6910.29412.90513.314.113.414.413.710.56.2
Totaal activa 707.035595.329473.842212.616211.335182.272173.485177.248142.77140.944154.287162.72594.61856.45151.58648.46863.12440.15616.93813.93111.44611.14711.46513.45313.915.517.717.12611.213.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 33.4614.6028.4114.1915.2165.9175.1824.913.7034.1022.6612.5321.6140.1820.1360.2390.2740.1530.1310.3710.0330.0130.0210.018000.10.10.40.20.1
Kortlopende schulden 6.734.0664.0564.24.2551.4971.4212.1076.6652.0270.7362.54.9501.450.2250.2592.80902.3812.3812.38130000.70.7111.10
Belastingschulden 0.4893.2423.223.2553.8123.6423.3653.2051.8711.96100.0072.410.3842.274000.238441.866000000000000
Uitgestelde opbrengsten 6.1751.6511.8221.3720.13.6423.3653.2051.8711.96100.0072.4102.27401.3640.487000.20400.17100000000
Overige kortlopende verplichtingen 32.18655.34223.76414.48815.61210.5558.5968.645.2279.7348.4810.2938.2121.3641.0121.02203.5520.690.1560.0540.1730.0480.210.31.10.50.90.60.20.2
Totaal kortlopende verplichtingen 78.55265.66138.05324.25125.18321.61118.56418.86217.46617.82411.87715.33217.1851.5464.8731.4861.8987.0010.8212.9082.6732.5673.2410.2280.31.11.31.7121.50.3
Langlopende verplichtingen:
Langetermijnschulden 465.153419.997317.305125.044123.45898.51898.42799.56467.50565.52464.48366.2521.987006.20422.94902.620000.63.153.836.26.34.51.43.7
Uitgestelde opbrengsten niet-vlottend 6.1928.8564.7145.3980000-0.35-0.099-0.11366.250000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 20.2621.0241.0550.620.7122.2321.7571.2261.2760.0990.1130.012,110,3332.111.7561.5940.35900.1250000000.100000
Overige niet-vlottende verplichtingen 59.028000.6265.8860.1662.6891.1170.350.0990.113-66.25-2,110,3330000.01700.27200000-0.10.1000-0.10
Totaal niet-vlottende verplichtingen 550.635429.877323.074131.688130.056100.916102.873101.90768.78165.62364.59666.2621.9872.111.7567.79923.32503.0170000.63.153.73.26.26.34.51.33.7
Totaal passiva 629.187495.538361.127155.939155.239122.527121.437120.76986.24783.44776.47381.59239.1733.6566.6299.28525.2237.0013.8382.9082.6732.5673.8413.37844.37.5816.52.84
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 0.0040.0040.0040.0030.0030.0030.0020.0020.0020.0020.0020.0020.0020.0020.0020.0020.0020.0020.0010.0010.0010.0010.0010.0010000000
Ingehouden winsten -34.616-9.7125.092-6.614-6.761-2.5391.8326.8611.95413.27134.11638.0788.5086.165-1.504-6.273-7.891-8.831-6.429-8.338-8.658-8.851-9.807-7.356-7.5-6-6.7-7.7-7-1.40
Overige gereserveerde algehele resultaten 0-0-00-0-60.254-52.05-43.673-36.223-29.842-23.096-16.284-11.081-6.889-5.941-4.986-1.145-2.24600-0.135-0.124-0.084-0.084-0.1000-1.700
Overige totale aandeelhoudersvermogen 112.46109.499107.61963.28862.854122.535102.26493.2980.7974.06666.79259.33752.87447.93446.95245.8442.70242.19517.4317.4317.56517.55417.51417.51417.517.216.916.818.29.80
Totaal eigen vermogen van aandeelhouders 77.84899.791112.71556.67756.09659.74552.04856.47956.52357.49777.81481.13350.30447.21239.50934.58333.66831.1211.0029.0938.7738.587.62410.0759.911.210.29.19.58.49.1
Totaal eigen vermogen 77.84899.791112.71556.67756.09659.74552.04856.47956.52357.49777.81481.13355.44552.79544.95739.18337.90133.15513.10111.0228.7738.587.62410.0759.911.210.29.19.58.49.1
Totaal passiva en aandeelhoudersvermogen 707.035595.329473.842212.616211.335182.272173.485177.248142.77140.944154.287162.72594.61856.45151.58648.46863.12440.15616.93813.93111.44611.14711.46513.45313.915.517.717.12611.213.1