Genesco Inc.

NYSE:GCO

29.56 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -23.62871.915114.85-56.42961.384-51.93-111.83997.43194.56997.72592.653110.53681.95953.21129.265161.6426.88567.64662.68648.24928.7336.2837.0729.59825.92255.48.817.110.1-81.2-51.79.70.5
Afschrijvingen & Amortisatie 49.44142.81842.96946.49949.57476.93978.32675.76879.01174.32667.13563.69753.73747.73847.03346.75745.11440.30634.62231.26621.83519.31416.23913.210.5149.78.97.77.49.310.79.39.1
Uitgestelde Inkomstenbelasting 3.452-26.394-18.7139.1420.660.272-15.5845.394-2.1255.21214.983-17.831-2.012-11.8663.687.837-12.683-6.129-5.0656.0610.2592.3626.0710.35110.687-28.8-0.5-0.401.42.3-0.8-0.2
Aandelen Gebaseerde Vergoedingen 14.01414.0179.1328.4610.111.43711.80511.58113.75813.39212.29510.5087.668.0066.9698.0317.8517.4130.97200000000000000
Verandering in Werkkapitaal 13.663-269.614107.82217.418-20.2157.34211.293-28.005-44.883-11.457-47.75-44.516-2.912-5.1731.728-28.263-36.665-40.9572.1676.4679.934-13.995-39.385-17.307-3.521-19.7-11.2-2.5918.6-10.8-25.915
Vorderingen -13.287-1.082-8.28-4.1590.6566.3120.8351.362-6.669-1.325-3.684-5.8213.011-12.085-2.2512.1560.1370.2740.0290.0030.2710.05500000000000
Voorraden 80.352-183.58310.82976.5251.932.68431.606-45.39627.827-30.955-58.386-61.049-42.324-44.34524.027-3.33-39.511-28.357-23.452-5.1921.388-25.766-8.941-25.772-0.282-12.3-22.5-116.325.5-4-27.211.2
Crediteuren -27.665-11.8393.76329.631-10.33343.028-7.33724.5272.50527.64619.85-17.953-1.20113.64111.441-8.071-0.43-9.0688.744-6.9024.30514.31700000000000
Overig Werkkapitaal -25.737-73.11101.51-84.579-12.4635.318-13.811-8.498-68.546-6.823-5.5340.30737.60237.619-1.489-19.0183.139-3.80616.84618.5583.97-2.601-30.4448.465-3.239-7.411.38.52.7-6.9-6.81.33.8
Overige Niet-Contante Posten 37.8542.374-16.19312.37622.02215.78116.10915.91918.28614.9780.6830.8166.52810.68923.421-16.90113.4412.2879.6197.7414.8683.9597.91110.2112.124-10.10.9-4.1-3.8-2.81.12.7-0.1
Kasstroom uit Operationele Activiteiten 94.796-164.884239.87157.741117.17237.143164.591161.501145.118189.764139.999123.21144.96102.608142.096179.10323.94370.566105.00199.78465.62647.9227.90636.05345.7267.526.922.422.722.5-17.4-526.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -60.303-59.934-53.905-24.13-29.767-57.23-127.853-93.97-100.652-103.111-98.456-71.737-49.456-29.299-33.825-49.42-80.662-73.287-56.946-39.48-19.521-36.276-43.723-34.735-22.312-23.5-24.7-14.6-8.6-5.8-7.9-9.2-7
Netto Overnames 0.0870-0.080.1165.153-0.7780.252-0.022-35.063-34.918-13.567-23.818-92.985-75.5-11.719-4.484-0.034-16.5690-167.6760000000000000
Aankoop van Beleggingen 000000000000000000000000000000000
Verkoop/verval van Beleggingen 000000000000000000000000000000000
Overige Investeringsactiviteiten 0.215-59.93420.0870.1117.9220.7270.25223.05359.9150.3360.0750.0810.0270.0110.0130.0160.0060.0060.0210.0120.6830.0930.4363.69410.06914.10.2018.88.1-11.2-25.20.2
Kasstroom uit Investeringsactiviteiten -60.001-59.934-33.898-24.0253.308-56.503-127.601-70.939-75.8-137.693-111.948-95.474-142.414-104.788-45.531-53.888-80.69-89.85-56.925-207.144-18.838-36.183-43.287-31.041-12.243-9.4-24.5-14.610.22.3-19.1-34.4-6.8
Financieringsactiviteiten:
Schuldaflossingen -13.303-30.05-46.516-221.9-144.536-301.256-518.164-364.276-335.987-5.33-19.004-430.483-320.143-109.422-232.504-333.6140-1.39600-17.0390-0.00100-26.10000000
Uitgifte van Gewone Aandelen 00000001.0181.442004.9650111.560297.820.7956.7798.3529.4671.0282.1476.896.5925.4554.13.91.2007.900
Terugkoop van Gewone Aandelen -32.027-81.412-78.068-1.223-190.384-44.935-17.879-140.499-137.648-4.635-20.676-37.650-26.8510-90.9030-32.08800-1.901-4.044-4.826-8.778-39.519-12.20000000
Uitgekeerde Dividenden 0000000000-0.033-0.147-0.193-0.197-0.198-0.198-0.217-0.256-0.273-0.292-0.294-0.294-0.294-0.298-0.3-1.50000-0.2-0.3-0.3
Overige Financieringsactiviteiten -2.2495.83223.415219.95978.409293.433488.633330.308426.088.5169.787441.499316.3560.876200.6131.64957.1332.533-55.77276.704-2.962-0.001-0.386-0.006-0.00247-0.3-1.2-7.5-18.127.637.3-15.9
Kasstroom uit Financieringsactiviteiten -47.579-45.53-101.169-3.164-256.511-52.758-47.41-174.467-47.555-1.449-29.926-21.816-3.98-24.034-32.089-125.24657.711-24.428-47.69385.879-21.168-2.1921.383-2.49-34.36611.33.61.2-7.5-18.135.337-16.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.051-2.1870.6313.1160.096-0.4642.056-1.082-1.3422.7981.5270.085-0.710000000000001.9-2.40-32.9-24.836.539.4-20
Netto Kasstroomverandering -12.835-272.535105.434133.673-85.937127.418-8.364-84.98720.42153.42-0.3486.005-2.144-26.21464.476-0.0310.964-43.7120.383-21.48125.629.545-13.9982.522-0.88311.33.69-7.5-18.135.337-16.2
Kaspositie aan het Einde van de Periode 35.15547.99320.525215.09181.418167.35539.93748.301133.288112.86759.44759.79553.7955.93482.14817.67217.70316.73960.45160.06881.54955.92946.38460.38257.8660.64744.62.7-14.540.144.2-12.8