H.B. Fuller Company

NYSE:FUL

73.49 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 144.988180.407175.332123.788130.844171.23258.29124.38288.39750.15195.97568.28789.04770.41983.65418.889102.173134.21361.57635.60338.61928.17644.43949.16344.11640.345.431.230.921.735.627.721.115.7
Afschrijvingen & Amortisatie 159.841146.976143.174138.817141.206145.12687.31577.68475.28970.49461.65757.41641.21641.246.74746.17250.35848.45555.47556.0354.13657.54454.40152.16550.849.546.84741.233.429.731.628.727.623.9
Uitgestelde Inkomstenbelasting -25.114-15.232.335-24.73-29.028-47.446-20.9365.3446.6454.1549.648-16.825.4059.34333.994-28.3183.563-8.676-4.75211.2410.042-0.21700000000000-11.4
Aandelen Gebaseerde Vergoedingen 19.91124.36822.36616.91424.00317.11317.50313.34414.15613.37612.3179.7287.7416.4055.6680013.23400000000000000000
Verandering in Werkkapitaal 122.82-51.773-211.678111.4348.14-88.24915.763-48.77713.685-143.525-29.2850.983-16.046-48.618-113.6043.199-13.79667.6111.99924.62-32.3262.478-8.42-22.61814.8-18-16-18.6-7.9-24.3-15.94.3-8.72.9-4.4
Vorderingen 68.721-24.753-124.849-14.842-25.632-39.429-26.8261.874-12.038-18.893-7.281-17.341-21.862-17.46115.691020,99313.63811.912-8.374000000000000000
Voorraden 72.576-55.772-135.35115.70819.584-17.068-10.56-3.495-4.588-36.227-11.797-17.081-12.955-5.1935.686-12.644-12.64814.447.053-4.2533.9861.66911.992-11.1429.4-4.5-2.57.7-2.3-15.2-10-5-1.8-9.2-3.3
Crediteuren -57.752-22.629176.33723.1311.55325.40144.365-12.2925.794-14.54416.258-4.84513.329-8.762-31.8630-20,998.46839.325-11.9128.374000000000000000
Overig Werkkapitaal 39.27551.381-127.81587.4382.635-57.1538.784-34.86424.517-73.861-26.46540.255.442-17.205-133.11815.8434.320.2074.94628.873-36.3120.809-20.412-11.4765.4-13.5-13.5-26.3-5.6-9.1-5.99.3-6.912.1-1.1
Overige Niet-Contante Posten -44.048-28.23481.788-34.664-5.98855.536-17.14523.71112.35735.084-17.619-24.846-24.866-4.68114.9513.465-3,080.771-60.3498.688-4.6171.973-1.492-0.752-0.73644.5-2.57.514.310.811.4119.10.24.7
Kasstroom uit Operationele Activiteiten 378.398256.514213.317331.559269.177253.312140.79195.688210.52929.734132.69394.748102.49774.06871.4128.145123.527194.487125.836123.24959.67782.32489.66877.974113.75268.681.378.850.846.982.556.862.641.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -119.137-129.964-96.089-87.288-61.982-68.263-54.934-63.31-58.624-139.794-126.675-35.913-36.032-35.91-22.738-19.959-20.89-21.144-25.455-31.26-39.263-36.278-30.725-49.044-60.8-154.8-69.2-89.8-90.7-65-53.3-34.5-30-31.5-42.7
Netto Overnames -205.093-250.807-5.445-15.12352.1313.499-1,745.415-52.547-217.572-26.334-8.614-412.606-6-27.573-4.175-6.436-1.155-311.871-0.537-19.295000-5.38800000000000
Aankoop van Beleggingen 000000-1.25000000000-120-2.611-3-3.1060-3.5170000000000-0.50
Verkoop/verval van Beleggingen 00000000000000000081.877001.56700000000.30000.4
Overige Investeringsactiviteiten 5.0295.4846.874-7.04917.2562.9230.6724.33217.3756.1112.135121.9873.3133.4171.1090.21171.999105.34921.9773.2025.7110.0947.30915.694119.14.721-2.6-75.7-0.11.3-2.10.10
Kasstroom uit Investeringsactiviteiten -319.201-375.287-94.66-109.467.405-61.841-1,800.927-111.525-258.821-160.017-133.154-326.532-38.719-60.066-25.804-26.18437.954-227.6661.374-48.476-36.659-26.184-25.366-38.738-49.8-145.7-64.5-68.8-93.3-140.7-53.1-33.2-32.1-31.9-42.3
Financieringsactiviteiten:
Schuldaflossingen -2,126.45-159.5-156.5-518-288.6-199.026-1,087.026-22.5-213.873-483.25-130.047-292.333-240.5-329.625-391.934-67.642-86.21900000000000000000-4
Uitgifte van Gewone Aandelen 2,219.24530.12241.671316.44912.5476.2372,873.98311.269361.631573.454115.925585.772226.778367.516366.1741.39213.83519.877.2930000000000000000.2
Terugkoop van Gewone Aandelen -2.567-3.95-2.682-3.432-3.026-4.688-21.831-23.228-19.29-15.51-17.638-4.333-8.51-0.377-0.362-200.75-100.2190000000-0.6-0.1-15.500-1.5-1.5-0.2-0.5-8.9-3
Uitgekeerde Dividenden -43.395-39.207-34.859-33.461-32.357-31.124-29.612-27.518-25.683-23.087-19.334-16.454-14.55-13.624-13.124-13.422-15.499-14.752-13.961-13.074-12.662-12.406-12.095-11.786-11.4-10.9-10.1-9.2-8.7-8-7.5-6.4-5.6-5.4-5.4
Overige Financieringsactiviteiten -11.691332.855-1.7-0.767-3.616.237-25.32420.6561.4333.3572.4321.263-6.0350.5090.201135.7173.538116.156-26.848-0.898-10.726-51.452-51.417-22.418-50.7106.521.1-8.722.291.34.4-30.3-15.3-14.55.6
Kasstroom uit Financieringsactiviteiten 35.142160.32-154.07-239.211-315.046-228.6011,710.19-52.59104.21854.964-48.662273.915-42.81724.399-39.045-144.705-184.564121.274-33.516-13.972-23.388-63.858-63.512-34.204-62.795.5-4.5-17.913.581.8-4.6-36.9-21.4-28.8-6.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5.204-23.423-3.3355.455-0.138-6.4752.1-8.496-9.033-2.2332.6713.6561.911-5.27813.223-23.24414.3129.72-3.0912.967-0.036-0.070.175-0.36400.2-0.5-0.20.30.5-1.21.5-21.80
Netto Kasstroomverandering 99.54318.124-38.748-11.657-38.602-43.60552.15323.07741.599-77.552-45.31545.78722.87233.12319.784-165.988-8.77197.81590.60363.768-0.406-7.7880.9654.6681.22-0.9-5.6-0.7-7.6-1213.91.33.7-7.6
Kaspositie aan het Einde van de Periode 179.45379.9161.786100.534112.191150.793194.398142.245119.16877.569155.121200.436156.149133.277100.15480.37246.358255.362157.63167.0283.263.66611.45410.4895.84.72.63.59.19.817.429.115.314.110.4