Genesco Inc.

NYSE:GCO

26.14 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 35.15547.99320.525215.09181.418167.35539.93748.301133.288112.86759.44759.79553.7955.93482.14817.67217.70316.73960.45160.06881.54955.92946.38460.38257.8658.749.343.435.610.23.64.87.23.436.541.846.533.723.1
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 35.15547.99320.525215.09181.418167.35539.93748.301133.288112.86759.44759.79553.7955.93482.14817.67217.70316.73960.45160.06881.54955.92946.38460.38257.8658.749.343.435.610.23.64.87.23.436.541.846.533.723.1
Nettovorderingen 53.61840.81839.50931.4129.195130.21943.29243.52547.8255.26352.64648.21443.71344.51227.21723.74424.27524.08421.17117.90612.51519.41219.85722.723.61726.320.430.432.132.16671.754.363.158.658.654.5109.859.1
Voorraad 378.967458.017278.2290.966365.269368.838542.625563.677530.565598.145567.261505.344435.113359.736290.974306.078300.548261.037230.648207.197167.234168.622142.856134.236109.815117.210695.984.982.9155.1151.5111.5122.7124.9114.410694.5124
Overige vlottende activa 39.61125.84471.564130.12832.30168.73870.52682.66489.03382.30577.52168.91875.00152.87349.73353.358-0.00133.20628.91820.74822.46813.55912.71711.16523.70726.118.94.54.358.25.98.57.17.273.83.73.22.9
Totaal vlottende activa 507.351572.669709.798667.595508.183735.15696.38738.167800.706848.58756.875682.271607.617513.055450.072400.852383.666335.066341.188305.919283.766269.431229.756243.746214.999228.3194.6174.2156.9183.4230.6236.5180.1196.4227218.6210.7241.2209.1
Niet-vlottende activa:
Materiële vaste activa, netto 677.162704.724760.097829.569973.364277.375382.629330.611323.328305.752280.037241.669227.717198.691216.293239.681247.241222.334188.047168.67121.667127.542113.04988.37768.66158.445.434.528.628.142.947.24545.243.841.74442.469.4
Goodwill 9.56538.12338.55638.55122.18493.081100.308271.222281.385296.865288.1273.827259.759153.301118.995111.68107.618107.651000000000000000000000
Immateriële activa 27.2527.4329.85530.92936.36431.84789.69286.71990.30993.84886.65389.00693.08465.06456.46953.83152.88954.177148.19151.488000000000018.619.20000000
Goodwill en immateriële activa 36.81565.55368.41169.479158.548124.928190357.941371.694390.713374.753362.833352.843218.365175.464165.511160.507161.828148.19151.488000000000018.619.20000000
Langetermijnbeleggingen -26.23000-19.475-21.335-25.077-0.085-0.959-390.744-378.095-389.281-380.995-237.401-189.009-172.64300000000000000000000000
Belastingvorderingen 26.2328.5631.466019.47521.33525.0770.0850.9590.0313.34226.44828.15219.03613.5457.1322.641000.32918.13717.78715.733.396000000000000000
Overige niet-vlottende activa 108.56284.91722.32720.72540.38347.73249.63622.18746.374429.677402.372409.437403.976248.677197.287177.49410.50110.1458.6939.1656.6174.4545.01916.64417.50520.56.8912.332.417.31512.19.895.13.86.56.2
Totaal niet-vlottende activa 822.539883.757852.301919.7731,172.295450.035622.265710.739741.396735.429682.409651.106631.693447.368413.58417.175420.89394.307344.93329.652146.421149.783133.798108.41786.16678.952.243.540.960.578.881.457.15552.846.847.848.975.6
Totaal activa 1,329.891,456.4261,562.0991,587.3681,680.4781,185.1851,318.6451,448.9061,542.1021,584.0091,439.2841,333.3771,239.31960.423863.652818.027804.556729.373686.118635.571430.187419.214363.554352.163301.165307.2246.8217.7197.8243.9309.4317.9237.2251.4279.8265.4258.5290.1284.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 111.321144.998152.484150.437135.784158.603140.962170.751155.049176.307145.483118.35138.938117.00192.69973.14375.30265.08373.92965.59947.92186.92367.49794.25274.87470.67254.643.761.168.100000000
Kortlopende schulden 132.489134.458145.088173.505142.6958.9921.7669.17514.18213.1526.7935.6758.77300000000000000.20.81.22.32.41.84.57.39.610.41.916.311.5
Belastingschulden 1.24213.84720.01616.25211.77319.52217.60230.66940.85746.88628.43529.116.3913.25900.6344.7257.84512.8865.3128.689000000000000000000
Uitgestelde opbrengsten 1.24228.56300019.5220000029.743000000000000000000-2.400000000
Overige kortlopende verplichtingen 74.48552.764134.15678.99183.45689.112115.632129.46153.249217.702153.302122.929180.679116.70376.95865.83970.27269.65382.27364.07544.5211.3436.7294.5682.1181.93.13.33.919.32.465.842.845.547.641.844.451.856.9
Totaal kortlopende verplichtingen 319.537360.783431.728402.933361.935276.229258.36309.386322.48407.161305.578276.697328.39233.704169.657138.982145.574134.736156.202129.67492.44288.26674.22698.8276.99272.575.358.748.882.770.567.647.352.857.252.246.368.168.4
Langlopende verplichtingen:
Langetermijnschulden 34.682445.971487.557560.535662.34256.75186.61973.7397.87616.00326.93745.00731.93100118.52155.22109.25106.25161.2586.25103.245103.245103.5103.5103.57575.776.585.1102.967.122.531.750.559.66992.2114.2
Uitgestelde opbrengsten niet-vlottend 0000-182.4750000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000182.4750000000000000000000000000000000000
Overige niet-vlottende verplichtingen 404.46942.70640.34657.14136.858114.654142.962143.269163.207163.593188.646201.155161.37999.898111.682113.59182.34780.16174.91572.58235.89744.92424.89611.61812.43114.624.622.938.646.737.328.118.33236.351.68783.671
Totaal niet-vlottende verplichtingen 439.151488.677527.903617.676699.2171.405229.581216.999261.083179.596215.583246.162193.3199.898111.682232.111237.567189.411181.165233.832122.147148.169128.141115.118115.931118.199.698.6115.1131.8140.295.240.863.786.8111.2156175.8185.2
Totaal passiva 758.688849.46959.6311,020.6091,061.135447.634487.941526.385583.563586.757521.161522.859521.7333.602281.339371.093383.141324.147337.367363.506214.589236.435202.367213.938192.923190.6174.9157.3163.9214.5210.7162.888.1116.5144163.4202.3243.9253.6
Eigen vermogen:
Preferente aandelen 0.8130.8150.8271.0091.0091.061.0521.061.0771.2741.3053.9244.9575.1835.225.2035.3386.6026.6957.4747.587.5997.6347.7217.8827.97.97.987.98.18.38.3000000
Gewone aandelen 11.96113.08914.25615.43815.18619.59120.39220.35422.32324.51524.40824.48524.75824.16324.56319.73223.28523.2323.74822.92622.21222.22222.33122.1521.71524.3025.200000000000
Ingehouden winsten 296.766346.87350.206320.92378.572508.555603.902731.111768.222820.563734.533655.92586.99505.224452.21432.324309.03306.622239.232176.819132.215103.77967.79331.0171.718-23.9-75.5-77.4-94.5-104.6-23.231.322.522.325.68.2-6.8-18.2-38.7
Overige gereserveerde algehele resultaten -39.624-41.211-36.408-35.059-31.668-37.936-29.192-51.292-42.613-40.576-16.767-28.241-32.966-24.305-28.804-30.698-16.01-21.327-26.204-26.302-25.164-30.452-17.336-52.9-51.1-54-57.2-61-57.2-53.8-75.6-56.6-53.5-51.4-50.6-50.7-48.9-67.9-93.7
Overige totale aandeelhoudersvermogen 301.286287.403273.587264.451256.244246.281234.55221.288209.53191.476174.644154.43133.871116.556129.12420.37399.77290.099105.2891.14878.75579.63180.765130.237128.027162.3196.7165.7177.6179.9189.4172.1171.8164160.8144.5111.9132.3163.5
Totaal eigen vermogen van aandeelhouders 571.202606.966602.468566.759619.343737.551830.704922.521958.539997.252918.123810.518717.61626.821582.313446.934421.415405.226348.751272.065215.598182.779161.187138.225108.242116.671.960.433.929.498.7155.1149.1134.9135.810256.246.231.1
Totaal eigen vermogen 571.202606.966602.468566.759619.343737.551832.234923.989960.166999.222920.056812.445719.859629.324582.313446.934421.415405.226348.751272.065215.598182.779161.187138.225108.242116.671.960.433.929.498.7155.1149.1134.9135.810256.246.231.1
Totaal passiva en aandeelhoudersvermogen 1,329.891,456.4261,562.0991,587.3681,680.4781,185.1851,318.6451,448.9061,542.1021,584.0091,439.2841,333.3771,239.31960.423863.652818.027804.556729.373686.118635.571430.187419.214363.554352.163301.165307.2246.8217.7197.8243.9309.4317.9237.2251.4279.8265.4258.5290.1284.7