Guess', Inc.

NYSE:GES

17.45 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 360.285275.765415.565469.11284.613210.46367.441396.129445.48483.483502.945329.021491.805427.037502.063294.118275.595220.344171.549106.00367.16331.75314.8713.3326.15.98.28.86.4
Kortetermijnbeleggingen 00000000005.1236.9064.0615.0870000000018.220.89827.10000
Liquide middelen en kortetermijnbeleggingen 360.285275.765415.565469.11284.613210.46367.441396.129445.48483.483508.068335.927495.865442.124502.063294.118275.595220.344171.549106.00367.16331.75333.0914.2333.25.98.28.86.4
Nettovorderingen 314.769341.939328.856314.147327.281321.995259.996225.537222.359216.205276.565324.971340.602358.482289.638264.34254.4133.40681.76253.91532.60235.43740.534.38339.734.137.846.836.9
Voorraad 466.297510.899462.295389.144393.129468.897428.304367.381311.704319.078350.899369.712328.602294.705246.197239.675232.159165.232122.03782.32983.5395.68396.105144.22106.689.592.179.572.9
Overige vlottende activa 84.12283.10277.37860.12359.21287.34352.96454.96556.70992.59380.55476.61596.41368.26985.19196.05652.58539.9135.42928.7769.49926.1140.15933.25921.526.629.516.25.6
Totaal vlottende activa 1,225.4731,211.7051,284.0941,232.5241,064.2351,089.231,108.9461,044.0121,036.2521,111.3591,216.0861,107.2251,261.4821,163.581,123.089894.189814.739558.892410.777271.023210.644188.987189.036226.092201156.1167.6151.3121.8
Niet-vlottende activa:
Materiële vaste activa, netto 913.679876.503914.5649811,140.102315.558294.254243.005255.344259.524324.606355.729348.885313.856255.308221.416229.917164.262144.007113.944114.403128.097145.385168.299125.786.598.264.368.2
Goodwill 34.134.27734.88536.73634.77737.07238.48134.133.41234.13338.99239.28729.0729.59529.87727.10229.43128.00420.62311.61000000000
Immateriële activa 000006.9345.9776.5047.2699.74513.1431610.6979.19215.97416.14523.70818.53220.62311.6121.47400000000
Goodwill en immateriële activa 34.134.27734.88536.73634.77744.00644.45840.60440.68143.87852.13555.28739.76738.78745.85143.24753.13946.53620.62311.6121.47400000000
Langetermijnbeleggingen 8.9884.44.2-109.153-98.332-101.23-112.844-123.397-124.294-112.625-107.108-98.35-92.38-94.242-101.35500000000000000
Belastingvorderingen 178.91158.403165.1272.41763.55557.22468.38682.79383.61368.74754.97343.06352.61355.45555.50449.68957.72643.08437.22616.894014.8360000000
Overige niet-vlottende activa 228.871140.16152.765252.344224.625244.417252.434247.468247.152230.522223.739250.552234.108208.368151.77838.02530.70724.15120.74110.83316.24417.61228.04225.29242.321.22223.712.6
Totaal niet-vlottende activa 1,364.5481,213.7431,271.5341,233.3441,364.727559.975546.688490.473502.496490.046548.345606.281582.993522.224407.086352.377371.489278.033222.597153.281152.121160.545173.427193.591168107.7120.28880.8
Totaal activa 2,590.0212,425.4482,555.6282,465.8682,428.9621,649.2051,655.6341,534.4851,538.7481,601.4051,764.4311,713.5061,844.4751,685.8041,530.1751,246.5661,186.228836.925633.374424.304362.765349.532362.463419.683369263.8287.8239.3202.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 272.83289.442325.797300.427232.761286.657264.438209.616177.505159.924191.532191.143224.859233.846195.075192.168210.258117.33987.71158.15844.88844.4647.93384.04361.732.838.339.340.7
Kortlopende schulden 255.28210.572238.895261.51201.5564.3152.8450.5664.0241.5484.161.9012.032.1772.35724.01835.25434.35734.23213.4313.93180.1387.60913.8017.500.26.14.1
Belastingschulden 20.82551.20344.48933.17139.02737.13938.57622.4825.50420.87434.94957.10826.84329.59619.4294.34419.7240005.500000000
Uitgestelde opbrengsten 14.19312.71912.85210.7318.0088.2617.11917.4125.0225.23525.52521.828-224.85912.3913.43412.25821.128000000000000
Overige kortlopende verplichtingen 249.254250.319240.33189.871196.088244.132183.443117.861120.51115.259148.808170.094418.006182.603130.813107.44121.651132.295.28361.21152.05642.96338.23131.95933.82222.529.119.4
Totaal kortlopende verplichtingen 791.557763.052817.874762.539638.413543.364467.845345.453327.059301.966370.025384.966420.036431.016341.679335.884388.291283.896217.226132.799110.875167.56193.773129.80310354.86174.564.2
Langlopende verplichtingen:
Langetermijnschulden 355.07923.088914.322989.825994.21235.01239.19623.4822.3186.1657.588.31410.20612.21814.13714.58618.72418.01840.05441.39654.1611.4880.119103.78183.499141.3121.2119.2
Uitgestelde opbrengsten niet-vlottend 14.815.214.317.118.715.512.8-0.576.968-68.747-54.973-43.06387.79576.45560.64252.56367.098-43.084-37.226-16.894000000000
Uitgestelde belastingverplichtingen niet-vlottend 552.249-15.2-14.3-17.1-18.7-15.52.70.5-76.96868.74754.97343.06352.61355.45555.50449.68957.72643.08437.22616.894000000000
Overige niet-vlottende verplichtingen 141.029157.403160.289144.004130.259212.331194.028180.104172.826199.391211.01216.21471.26729.75518.0578.34-8.57499.19987.80129.53214.94714.21110.64710.94314.29.610.28.78.1
Totaal niet-vlottende verplichtingen 1,063.1481,080.4911,074.6111,133.8291,124.471247.343248.724203.586175.144205.556218.59224.528221.881173.883148.34125.178134.974117.217127.85570.92869.10815.69190.766114.72497.6108.6151.5129.9127.3
Totaal passiva 1,854.7051,843.5431,892.4851,896.3681,762.884790.707716.569549.039502.203507.522588.615609.494641.917604.899490.019461.062523.265401.113345.081203.727179.983183.252184.539244.527200.6163.4212.5204.4191.5
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000
Gewone aandelen 0.530.5460.6270.6420.6580.8140.8130.8410.8380.8530.850.8530.8960.9230.9270.9230.9430.9210.1670.160.1550.150.1470.1460.10000
Ingehouden winsten 1,412.4261,276.8571,158.6641,034.8231,130.4091,077.7471,132.1731,215.0791,269.7751,265.5241,247.181,162.9821,155.696960.46919.531722.399542.856374.729251.561192.748163.182155.896167.178160.936144.492.567.429.9161.6
Overige gereserveerde algehele resultaten -137.01-134.073-135.549-120.675-139.91-126.179-93.062-161.389-158.054-127.065-13.801-2.461-23.197-8.578-2.952-17.4159.529-9.4833.1265.9832.791-2.294-2.767-2.98310.20000
Overige totale aandeelhoudersvermogen -591.006-609.217-401.084-371.127-351.443-115.155-123.105-85.309-94.084-65.456-79.715-74.38242.235102.071102.70570.131103.64664.89333.43921.68616.65412.52813.36617.05712.77.97.95-150.6
Totaal eigen vermogen van aandeelhouders 684.94534.113622.658543.663639.714837.227916.819969.2221,018.4751,073.8561,154.5141,086.9921,175.631,054.8761,020.211776.038656.974431.06288.293220.577182.782166.28177.924175.156167.4100.475.334.911
Totaal eigen vermogen 735.316581.905663.143569.5666.078858.498939.065985.4461,036.5451,093.8831,175.8161,104.0121,202.5581,080.9051,040.156785.504662.963435.812288.293220.577182.782166.28177.924175.156168.4100.475.334.911.1
Totaal passiva en aandeelhoudersvermogen 2,590.0212,425.4482,555.6282,465.8682,428.9621,649.2051,655.6341,534.4851,538.7481,601.4051,764.4311,713.5061,844.4751,685.8041,530.1751,246.5661,186.228836.925633.374424.304362.765349.532362.463419.683369263.8287.8239.3202.6