Cedar Fair, L.P.

NYSE:FUN

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 124.558307.668-48.518-590.243172.365126.653215.476177.688112.222104.215108.204101.21672.158-31.56735.4295.706-4.49187.477160.85278.31585.88871.41757.89477.80685.883.468.574.266.162.861.942.93633.231.6
Afschrijvingen & Amortisatie 157.995153.274148.803157.549170.456155.529153.222131.876125.631124.286122.487127.339123.805126.796132.745125.838130.62390.70355.76550.6944.69341.68242.48639.57235.132.121.519.116.71514.512.410.39.79.2
Uitgestelde Inkomstenbelasting -6.7574.38526.888-41.933-4.10611.259-35.7710.662-16.056-2.9613.34827.114.637-14.14-5.684-17.82719.14112.573-3.07100000000000-110000
Aandelen Gebaseerde Vergoedingen 22.61120.58915.431-0.20911.9111.24313.43410.95817.9559.6686.3914.476-0.239-0.089-0.02600000000000000000000
Verandering in Werkkapitaal 10.40264.80144.722-69.01450.263-8.887-20.90827.71416.22622.3115.7143.1229.617-3.72724.401-0.028-30.3-31.641-54.18719.091.19918.49112.927-3.2613.113.56.611.73.33.80.600.80.3
Vorderingen -8.446101.394-27.65128.72914.661-29.797-22.44616.233.2274.4158.514-10.54300000000000000000000000
Voorraden 1.281-13.415.384-14.499-0.211-1.203-3.332-1.2080.6070.0461.5355.251000000-0.046-1.679-1.010.221-0.274-1.407-1.70.1-0.200.70.10.40000
Crediteuren -15.079-8.72134.515-9.917-1.1070.5491.906-0.4073.2430.8840.1740.17-1.1440.652-2.635-5.1010000000000000000000
Overig Werkkapitaal 32.646-14.47222.474-73.32736.9221.5642.96413.0999.14916.9655.4912.95210.761-4.37927.0365.073-30.3-31.641-54.14120.7692.20918.2713.201-1.8544.813.46.8013.23.40000
Overige Niet-Contante Posten 14.223-143.04513.9127.3132.15354.9435.725-1.47188.13879.58568.31322.678.199104.842-1.6688.21566.7387.3121.1890.0663.13814.87811.66100-0.1-0.1-0.10.1000.100-0.1
Kasstroom uit Operationele Activiteiten 323.032407.672201.226-416.537403.041350.74331.179357.427342.217337.103324.457285.933218.177182.115185.197215.588181.711166.424160.548148.161134.918146.468124.968114.117124128.996.594.284.681.169.25646.343.741
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -220.422-183.352-59.183-129.087-330.662-189.816-188.15-161.233-175.865-166.719-120.448-96.232-90.19-71.706-69.136-83.481-78.522-59.458-75.655-75.878-39.789-55.279-85.071-93.487-109.4-68.1-306.7-30.2-28.5-19.2-23.8-67.1-10.3-15.2-9.8
Netto Overnames 03101.4050-270.1710.1123.2810-20000006.4310-1,253.4610-144.269000000000000000
Aankoop van Beleggingen 0000330.662-0.0713.2810-200000000000000000000000000
Verkoop/verval van Beleggingen 00000.6170.112188.150000000000000000000000000000
Overige Investeringsactiviteiten 03101.4058.266-330.662-0.041-191.431-0.577-21.37715.29716.0580053.83100000000.35600010.3-15.9-35.9002.1000.2
Kasstroom uit Investeringsactiviteiten -220.422126.648-57.778-120.821-600.216-189.704-184.869-161.233-177.865-165.342-105.151-80.174-90.19-71.706-15.305-77.05-78.522-1,312.919-75.655-220.147-39.789-55.279-84.715-93.487-109.4-68.1-296.4-46.1-64.4-19.2-23.8-65-10.3-15.2-9.6
Financieringsactiviteiten:
Schuldaflossingen 0-264.25-460.755-465.125-5.6250-1,133.308-60-436.148-1,142.25-25-47.1-1,667.024-169.023-28.8360000000000000000000
Uitgifte van Gewone Aandelen 0004.6244.250.1250.06500000000000.749073.3540.43500000157.4022.20021.2000
Terugkoop van Gewone Aandelen -77.272-184.646-4.652-4.624-4.25-8.428-4.173-0.92-3.7330000000000000-32.267-26.5660-7.5000000000
Uitgekeerde Dividenden -61.106-33.4550-53.02-210.011-203.199-194.756-187.182-172.614-159.432-143.457-88.813-55.347-43.264-67.864-105.078-102.69-100.83-98.122-92.151-88.141-83.448-80.163-77.518-72.5-65.4-58.3-54.5-51.2-46.3-42.4-36-31.8-27.8-24.3
Overige Financieringsactiviteiten -4.623-7.201-1.0261,248.995486.105-13.3761,221.643-0.422-1.589440.3451,107.375-49.1661.7291,597.5963.6046.27-25.2041,273.36414.29791.942-7.4-7.8572.06585.20857.410.61027.68.6-15.4-2.923.7-4-1.2-6.8
Kasstroom uit Financieringsactiviteiten -143.001-489.552-466.433730.85270.469-216.575-106.421-193.604-174.203-155.235-178.332-162.979-100.718-112.698-173.283-127.644-127.8941,173.283-83.82573.145-95.106-91.298-40.365-18.876-15.1-62.3201.1-46.9-20.4-61.7-45.38.9-35.8-29-31.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.047-4.6987.3680.9923.609-5.3573.640.569-2.432-2.742-1.7480.526-1.510.1261.446-2.5220.003-1.0060000000-60.8199.9-48.1-20.2-61.9-45.49-36-28.5-31.4
Netto Kasstroomverandering -35.70140.07-315.617194.48476.903-60.89643.5293.159-12.28313.78439.22643.30625.759-2.163-1.9458.372-24.70225.7821.0681.1590.023-0.109-0.1121.754-0.5-62.3201.1-46.9-20.4-61.7-45.38.9-35.8-29-31.1
Kaspositie aan het Einde van de Periode 65.488101.18961.119376.736182.252105.349166.245122.716119.557131.84118.05678.8335.5249.76511.92813.8735.50130.2034.4213.3532.1942.1712.282.3920.6-59.8202.4-46.8-20-61.5-45.29.1-35.7-28.5-30.9