The Greenbrier Companies, Inc.

NYSE:GBX

59.17 (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 172.775.653.835.13487.586105.811172.063160.462284.824265.309149.779-5.38161.178.3878.331-54.0619.54222.0139.59829.82220.7784.317-26.0941.11914.35420.420.3-4.218.316.711.2
Afschrijvingen & Amortisatie 115.6106.3102100.717109.8583.73174.35665.12963.34545.15640.42241.44742.37138.29337.51137.66935.08632.82625.25322.93920.8418.06617.9622.39620.35616.514.527.924.923.923
Uitgestelde Inkomstenbelasting 16.87.212.951.1-9.489-20.225-40.4964.377-8.935-20.151-4.687-9.66211.6172.39915.052-11.79912.91910.6435.8935.8079.4722.304-10.2911.6827.6046.5-2.2-8.26.43.31.9
Aandelen Gebaseerde Vergoedingen 17.112.115.514.7911.15329.31426.42724.03719.45911.2856.3028.757000000000000000000
Verandering in Werkkapitaal 12.8-171.5-302.8-258.98887.239-182.778-96.2532.916-16.891-134.509-20.19711.658-7.059-100.008-9.5290.927-26.929-26.252-20.47-76.754-67.884-1.61730.57717.59-72.53-10.247.7-10.5-14.1-33.5-7
Vorderingen 6.3-14.6-198.2-82.117135.32613.022-83.551-25.272-32.05113.652-23.749-7.32337.763-96.55222.4358.5210000-19.373-34.47631.342-22.9470000000
Voorraden 50-17.2-267.9-166.488166.607-143.168-26.592-2.78753.711-143.849-9.67519.0453.709-116.866-44.27698.751-29.69214.26-37.51715.403-11.089-37.554-3.613.137-39.249-3.610.1-11.210.3-40.8-1.9
Crediteuren -63.516.3165.3-10.821-186.774-33.35734.12427.936-89.263-17.621.5148.42116.236125.38612.61.6500003.8143.2363.236-2.9610000000
Overig Werkkapitaal -43.5-156-20.438-27.92-19.275-20.23133.03950.71213.30811.713-8.485-64.767-11.976-0.274-67.9952.763-40.51217.047-92.157-41.23667.177-0.40130.361-33.281-6.637.60.7-24.47.3-5.1
Overige Niet-Contante Posten -5.441.5-31.816.808-11.922-18.933-35.646-8.922-14.7117.069-40.69560.22813.66213.345-7.63358.8952.30221.899-10.732-3.7532.739-1.95415.121-1.3711.9276.10.20.1-0.69.48
Kasstroom uit Operationele Activiteiten 329.671.2-150.4-40.525272.261-21.241103.341280.389331.67192.333135.907104.592116.056-34.25242.561120.46532.11846.32739.542-21.939-14.05521.11627.27341.416-28.28938.475.918.634.915.533.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -398.3-362.1-380.7-139.011-66.879-198.233-176.848-86.065-139.013-105.989-70.227-60.827-117.885-84.302-38.989-38.847-77.644-137.294-140.569-69.123-42.959-10.094-21.402-73.336-93.821-82.2-50.3-64.4-94.9-53.5-36.3
Netto Overnames 75-3.5-2.3-0.026-1.815-373.271-61.329-67.759-12.855-34.453-13.753-2.240-2.3338.9890-91.166-268.184000-3.1260-0.282-4.787000000
Aankoop van Beleggingen 0-3.5-2.3-0.026-1.815-11.393-26.455-40.632-12.855000-0.506-2.33-0.92700-0.8490011.570000000000
Verkoop/verval van Beleggingen 03.52.30.0261.81511.393000000084.3020.390.4290119.6950.550.09200000000000
Overige Investeringsactiviteiten -320.485.615921.27796.177127.523157.95840.08696.168.91153.90269.22629.444-64.604-23.63315.44616.660.05728.95347.70316.21738.24826.02764.27668.47871.5123.556.535.6-14.3-1.8
Kasstroom uit Investeringsactiviteiten -320.4-280-224-117.7627.483-443.981-80.219-113.738-55.708-131.531-30.0786.159-88.947-69.264-24.17-22.972-152.15-286.575-111.066-21.328-15.17225.0284.625-9.342-30.13-10.773.2-7.9-59.3-67.8-38.1
Financieringsactiviteiten:
Schuldaflossingen -143.2-291.8-23.4-624.754-30.179-182.971-22.269-8.297-24.187-18.668-201.744-93.797-41.004-321.36-43.965-97.68700-143.8150-27.5180000000000
Uitgifte van Gewone Aandelen 0324.83.7701.2722.26.32100-490237.8190063.18004.0073.4895.757130.7486.0931.79700001.200048.3
Terugkoop van Gewone Aandelen -1.3-56.9-3.7-20-2.2-6.321-7.723-5.215-33.498-69.95-33.5830000000-4.636-127.538-1.27700-0.959-0.24600000-1.2
Uitgekeerde Dividenden -38.4-36.1-35.8-35.663-35.173-33.193-102.947-53.401-118.395-16.491-9.1990000-2.001-5.261-5.144-5.042-3.889-0.889-0.847-0.847-5.086-5.132-5.6-3.4-3.4-3.4-3.40
Overige Financieringsactiviteiten -17.3-3.2321-18.305320.776509.94435.949271.3353.16542.285-10.85428.06512.21316.17148.54175.141104.732117.438290.23103.498-12.37-30.171-46.82138.362-0.54513.1-119.4123.515.86
Kasstroom uit Financieringsactiviteiten 86.2-76.2244.9-22.742216.455276.901-89.267209.637-221.915-62.824-17.561-65.732-28.79457.9914.576-24.547103.478115.783142.494102.819-35.961-29.221-47.66832.317-5.9237.5-121.6-2.420.112.453.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -29.528.617.210.336-12.599-12.666-14.66612.499-4.298-9.964-0.787-1.1555.034-3.117-0.29-2.7161.7032.379-1.281.542000000.100000
Netto Kasstroomverandering 65.9-256.4-112.3-170.691503.6-200.987-80.811388.78749.749-11.98687.48143.8643.349-48.64222.67770.23-14.851-122.08669.6961.094-65.18816.923-15.7764.391-64.34235.327.58.3-4.3-39.948.2
Kaspositie aan het Einde van de Periode 368.6302.7559.1671.396842.087338.487530.655611.466222.679172.93184.91697.43553.57150.22298.86476.1875.95720.808142.89473.20412.1175.758.77777.29912.81977.241.914.46.110.350.3