Griffon Corporation

NYSE:GFF

69.99 (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 77.617-287.71571.23953.42945.62233.25517.78330.0134.289-0.1776.7917.011-7.4319.50417.918-40.50322.07951.78648.81353.85943.0229.93630.59324.8820.229.333.222.923.829.718.124.115.49.5-14.9
Afschrijvingen & Amortisatie 65.44564.65852.30262.40961.84855.80347.87870.20869.867.39670.74872.28767.44545.50147.55543.73542.01435.132.61328.33126.18222.63724.20423.7032316.311.510.38.79.89.511.111.29.88.5
Uitgestelde Inkomstenbelasting -37.795-56.70613.7632.095-2.222-17.6332.3418.0822.132-5.1315.075-2.627-2.749-3.666-3.1440.212-10.004-4.012-1.748.3364.535-3.2754.268-1.7980-12.9-2.61.4-0.1-1.6-2.64.700
Aandelen Gebaseerde Vergoedingen 41.11233.13520.08817.5813.28510.0788.0910.13611.1111.47312.49510.4398.9565.7784.1453.3272,4121,71100000000000000000
Verandering in Werkkapitaal 124.245-230.642-96.387-15.807-10.324-20.662-31.597-19.902-47.918-26.371-21.276-8.248-73.12622.4621.48630.6566.205-70.093-23.0230.337-18.29911.7627.472-22.067-32.3-25.7-7.6-3.3-22.9-4.1-17.6-27.9-13.7-2.6-12.8
Vorderingen 50.793-20.662-7.002-62.3668.2792.681-19.131-34.29632.156.009-58.02627.269-30.5932.4310.6281.0892,9551,7929882,7851,87900000000000000
Voorraden 129.209-106.753-150.85734.08-24.938-52.122-29.29920.533-48.356-50.46126.8879.011-12.803-10.61128.498-23.57.748-15.624-5.718-27.313-9.832-8.6730.625-1.0459.1-14.108.7-6.4-12.4-8.7-1.8-10.6-11.14.3
Crediteuren -67.222-96.37259.63811.4623.35317.04712.76-10.141-32.27217.0267.33-49.649-33.53929.964-4.815-509.076-2,960.626-1,845.987-1,007.831-2,763.478-1,887.95900000000000000
Overig Werkkapitaal 11.465-6.8551.8341.0172.98211.7324.0734.0020.561.0552.5335.1213.8090.676-2.825562.1434.083-0.4822.5266.1280.49220.43326.847-21.022-41.4-11.6-7.6-12-16.58.3-8.9-26.1-3.18.5-17.1
Overige Niet-Contante Posten 158.147546.70850.76414.3023.626-40.01951.8495.8495.80644.5839.761-1.53341.3282.91-5.16543.212-2,406.633-1,707.4971.65914.91812.04641.5944.7369.75551.91.39.41-0.1-0.1-0.10.95.714.6
Kasstroom uit Operationele Activiteiten 428.77169.438111.769134.008111.83520.82296.344104.38375.21991.77383.59387.32934.42382.48782.79580.63965.66116.28458.322105.78167.48682.65298.77929.18315.920.841.336.7123619.67.521.622.4-4.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -63.604-42.488-36.951-48.998-45.361-50.138-34.937-90.759-73.62-77.094-64.441-68.851-87.617-40.477-33.033-53.116-30.321-42.107-40-56.124-44.049-24.3-26.678-37.366-47.9-74.4-25.8-9.4-8.1-9.2-8.4-28-15.2-20.1-35.7
Netto Overnames -2.568-555.752-2.242-10.531-18.71943.795-34.719-4.47-2.225-62.3060-22.432-0.855-5420-1.829-17.418-1.304-9.5770-13.773-4.5980-19.841000001.301.7000
Aankoop van Beleggingen 0-14.923-17.211-0.13-0.1490-1.82400-8.402000005.4960000000000000-18.6-4.8-6.40-20
Verkoop/verval van Beleggingen 014.923000.149000.71508.4020000010000000001.42.97.917.511.6026.22.208
Overige Investeringsactiviteiten 20.96112.3866.9880.796-10.473-10.099-46.7561.6249.225-7.851.5730.3096.139-1.6660.24.593-10.613-1.988-72.141-3.0792.565-0.9671.1548.1883.42.1-31-20.9-8.5-22.7-0.10.41.426
Kasstroom uit Investeringsactiviteiten -45.211-585.854-49.416-58.863-74.553-16.442-116.412-93.605-66.62-147.25-62.868-90.974-82.333-584.143-32.833-43.856-58.352-45.399-121.718-59.203-55.257-29.865-25.524-49.019-44.5-70.9-53.9-22.40.9-16.9-10.5-6.6-12.6-20.7-1.7
Financieringsactiviteiten:
Schuldaflossingen -221.781-530.65-27.833-68.835-16.5-300.993-170.454-214.986-187.735-603.094-16.867-18.546-498.572-176.802-58.1390000-0.135000000000000000
Uitgifte van Gewone Aandelen 122.558020.912178.1650420.661218.267302.3080.3710.5843.2532.14102.8237.257241.3442.5882.63920.2615.4731.2886.78800000000036.3000
Terugkoop van Gewone Aandelen -163.97-10.886-3.357-7.479-1.478-45.605-15.841-65.307-82.343-79.614-32.521-10.382-38.1120-4.37-0.579-4.355-19.811-25.909-28.4-60.655-11.874-0.097-4.585-0.7-5.6-4.2-21.7-28.2-15.40000-0.2
Uitgekeerde Dividenden -133.814-126.677-17.139-14.529-13.676-49.797-10.325-8.798-7.654-6.273-5.825-4.7430000000-5.97400000000000000-1.6
Overige Financieringsactiviteiten -3.1550.258-0.828159.033-3.322-7.742-26.615-4.329232.51660.467-0.2890.837658.794527.27223.481-9.35916.0247.31342.423-0.26969.426-42.048-59.67829.79531.259.614.415.6-3.6-1.5-0.7-42.6-11.2-9.534.6
Kasstroom uit Financieringsactiviteiten -400.162393.345-28.24568.19-34.97616.524-4.9688.888-44.851-27.93-52.249-30.693122.11353.293-43.202231.40614.257-9.85936.775-29.30510.059-47.134-59.77525.2130.55410.2-6.1-31.8-16.9-0.7-6.3-11.2-9.532.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.693-5.398-3.5442.3770.3131.1730.1640.886-4.152-2.31800.963-0.973-2.6682.152-1.0150.7920.7-0.7630.9581.779000050.112.6-14.3-12.9-19.1-9.1-0.9-9-1.76.3
Netto Kasstroomverandering -17.295-128.46930.564145.7122.61922.077-24.87220.552-40.404-85.725-31.524-33.37573.227-151.0318.912267.17422.358-38.274-27.38418.23124.0675.65313.485.3741.95410.2-6.1-31.8-16.9-0.7-6.3-11.2-9.532.8
Kaspositie aan het Einde van de Periode 102.889120.184248.653218.08972.37769.75847.68172.55352.00192.405178.13209.654243.029169.802320.833311.92144.74722.38960.66388.04769.81645.74940.09626.61621.269.4283.6-3.19.617.317.214.423.939.7