FRP Holdings, Inc.

NASDAQ:FRPH

29.59 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 158.415177.497161.52173.90926.60722.5474.52400.4191.0130.5026.71321.02617.15115.8037.77826.9440.1542.96616.7522.5520.5290.440.6332.5930.6630.4290.3130.40.80.40.40.50.10.10.11.31.50.2
Kortetermijnbeleggingen 004.31775.609137.867165.21200000007.1240000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 158.415177.497165.838149.518164.474187.7594.52400.4191.0130.5026.71321.02617.15115.8037.77826.9440.1542.96616.7522.5520.5290.440.6332.5930.6630.4290.3130.40.80.40.40.50.10.10.11.31.50.2
Nettovorderingen 1.3832.0222.5165.4481.110.4718.2935.2725.98813.02613.9429.7566.7958.1086.44411.77410.98311.76111.7319.1237.3327.3519.47910.778.4516.515.5315.35.64.43.73.12.83.42.42.82.62.71.7
Voorraad 00165.54180.37628.07900000.8950.8810.8431.1210.6650.6160.8910.7430.8540.7990.6420.670.6330.570.650.5030.5520.4690.5020.50.60.70.70.80.70.60.50.70.50.5
Overige vlottende activa -159.7980.797-164.789-80.18-27.8933.4260.333-0.9874.8269.896.3513.4850.1146.5131.5191.1440.4550.871.2913.5493.4112.9771.1913.0362.6142.3482.121.88821.92.42.122.31.410.90.81
Totaal vlottende activa 161.438180.316169.106155.162165.76201.65613.155.27211.23324.82421.67626.91934.69431.77229.88328.86344.48617.41219.56930.06613.96511.4916.24815.08914.16110.0738.5498.0038.57.77.26.36.16.54.54.45.55.53.4
Niet-vlottende activa:
Materiële vaste activa, netto 377.982377.34360.387212.291210.567213.72375.604224.247207.205249.61241.413228.021208.988198.116199.013210.76192.523192.073164.936149.011145.262138.367131.17124.026115.369104.9795.01890.05883.374.772.771.16969.760.955.751.152.614.7
Goodwill 0000000003.4311.0871.0871.0871.0871.0871.0871.0871.0871.0871.0871.0871.0871.1271.1671.2071.2481.2881.32800000000000
Immateriële activa 00000000000000000000000000001.41.41.51.51.61.600000
Goodwill en immateriële activa -377.982-377.34-360.387-213.284-538.148-505.488-418.734-265.67603.4311.0871.0871.0871.0871.0871.0871.0871.0871.0871.0871.0871.0871.1271.1671.2071.2481.2881.3281.41.41.51.51.61.600000
Langetermijnbeleggingen 166.066140.525145.443167.071160.45288.88413.40622.90119.0118.53713.40611.16114.267.34413.79113.3137.1781.0931.0931.093001.265.2160005.79100000000000
Belastingvorderingen 69.45667.9664.0470.993538.148505.488418.734265.67607.3044.343003.2955.647000000000000000000000000
Overige niet-vlottende activa 312.206312.283299.594213.51.3691.22816.57414.1415.1739.3655.1688.5177.36116.0987.4338.0178.2567.557.034.1374.9024.5192.9542.5137.9187.67411.7271.8568.287.67.57.88.16.86.96.86.10
Totaal niet-vlottende activa 547.728520.768509.084380.571372.388303.832405.584261.288241.388288.247265.417248.786231.696225.94226.971233.177209.044201.803174.146155.328151.251143.973136.511132.922124.494113.892108.03399.03392.984.181.880.178.479.467.762.657.958.714.7
Totaal activa 709.166701.084678.19535.733538.148505.488418.734266.56252.621313.071287.093275.705266.39257.712256.854262.04253.53219.215193.715185.394165.216155.463152.759148.011138.655123.965116.582107.036101.491.88986.484.585.972.26763.464.218.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8.3335.9716.1373.6352.4313.5454.373.7473.4567.3187.295.2663.9483.3842.8227.6635.4085.675.6743.0724.7345.7713.6275.5725.5652.7762.4271.7791.61.82.11.21.41.91.30000
Kortlopende schulden 0.925178.5570.3690.54288.92588.7894.46311.44512.6744.5344.3115.2394.9024.5884.2934.0193.7622.5762.4327.7161.5451.3118.7776.3963.6252.1334.4183.8332.14.32.82.11.82.411.10.72.21.4
Belastingschulden 00.018000.504000.88700.7010.4750002.35500.7020.020.6426.7990001.1620.4991.2240.7790.9290.81.9000000000
Uitgestelde opbrengsten 0.9250.2590.3690.5420.790.0271.0741.1261.060009.3487.46911.592000010.1232.6272.7830000000.81.9000000000
Overige kortlopende verplichtingen -0.925-178.539-0.369-0.542-88.421-88.50100.887010.0759.3819.660.0341.3273.6611.58111.0589.9468.1152.1882.3142.1074.3245.534.3654.574.2183.9832.72.33.33.82.83.222.92.51.20.6
Totaal kortlopende verplichtingen 9.2586.2486.5064.1773.7253.869.90717.20517.1921.92720.98220.16518.23216.76822.36723.26320.22818.19216.22123.09911.2211.97216.72817.49813.5559.47911.0639.5957.210.38.27.167.54.343.23.42
Langlopende verplichtingen:
Langetermijnschulden 178.705178.557178.40989.96488.92588.789113.85429.55436.01158.70445.59357.13162.3767.27271.8676.15380.17260.54848.46841.18557.81647.2947.09742.01537.93633.29930.64726.1725.516.115.715.316.918.19.77.66.39.61.3
Uitgestelde opbrengsten niet-vlottend 0.9250.2590.3690.5420.790.0271.0741.1261.061.3931.1331.6592.54802.9954.8484.5625.1044.9935.6895.7225.3315.2684.8844.64403.382000000000000
Uitgestelde belastingverplichtingen niet-vlottend 69.45667.9664.04756.57950.11127.98125.98216.45514.68421.65422.56718.19916.91916.08415.67918.88515.27414.96814.39415.76710.7610.0629.288.6288.827.6567.2436.244.22.72.72.92.42.32.31.31.52.11.6
Overige niet-vlottende verplichtingen 2.8463.8493.6092.9182.9521.5763.3353.41.3343.0784.1723.8331.8745.5321.5451.5362.8332.3511.7381.5671.6691.6481.2741.1731.0084.7760.5133.1372.93.32.42.52.731.20.80.902.8
Totaal niet-vlottende verplichtingen 251.932250.625246.434150.003142.778118.373144.24550.53553.08984.82973.46580.82283.71188.88892.079101.422102.84182.97169.59364.20875.96764.33162.91956.752.40845.73141.78535.54732.622.120.820.72223.413.29.78.711.75.7
Totaal passiva 261.19256.873252.94154.18146.503122.233154.15267.7470.279106.75694.447100.987101.943105.656114.446124.685123.069101.16385.81487.30787.18776.30379.64774.19865.96355.2152.84845.14239.832.42927.82830.917.513.711.915.17.7
Eigen vermogen:
Preferente aandelen 345.882342.317337.752309.764315.278306.307186.855143.4860000000000000000000000000000000
Gewone aandelen 0.9480.9460.9410.9360.9820.9971.0010.9910.9790.970.9560.9440.9290.3090.3050.3040.3050.3010.2970.2930.2930.3160.3140.3350.3380.3470.3440.3490.40.4000000000
Ingehouden winsten 345.882342.317337.752308.664315.278306.307186.855145.168131.497157.413147.394132.203124.642113.597106.226102.47398.08788.58280.50472.0171.67167.09661.44158.73856.69450.53746.05741.79737.63329.226.523.721.118.917.514.4129.9
Overige gereserveerde algehele resultaten 0.035-1.2760.1130.6750.923-0.7010.0380.014-0.0060.040.0380.0320.0310.020.019-99.758-0.085-85.562-81.789-75.219-76.229-70.908-66.087-60.557-57.378-53.113-47.653-43.025-43.8-40.3-38.1-34.1-31.1-27.7-26-25-24.1-20.1-13.5
Overige totale aandeelhoudersvermogen -278.227-277.159-280.135-253.485-257.573-248.303-131.219-90.83949.87247.89244.25841.53938.84538.1335.858134.33632.154114.731108.889101.00382.29482.65677.44475.29773.03870.98464.98662.77367.466.368.966.263.961.661.860.861.257.214
Totaal eigen vermogen van aandeelhouders 414.52407.145396.423366.554374.888364.607243.53198.82182.342206.315192.646174.718164.447152.056142.408137.355130.461118.052107.90198.08778.02979.1673.11273.81372.69268.75563.73461.89461.659.46058.656.55554.753.351.549.110.4
Totaal eigen vermogen 447.976444.211425.25381.553391.645383.255264.582241.645182.342206.315192.646174.718164.447152.056142.408137.355130.461118.052107.90198.08778.02979.1673.11273.81372.69268.75563.73461.89461.659.46058.656.55554.753.351.549.110.4
Totaal passiva en aandeelhoudersvermogen 709.166701.084678.19535.733538.148505.488418.734266.56252.621313.071287.093275.705266.39257.712256.854262.04253.53219.215193.715185.394165.216155.463152.759148.011138.655123.965116.582107.036101.491.88986.484.585.972.26763.464.218.1