Glatfelter Corporation

NYSE:GLT

1.79 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -78.103-194.1176.93721.298-25.211-0.4487.91421.55464.57569.24667.15859.37942.69454.434123.44257.88863.472-12.23638.60956.10212.98637.5956.9584441.42536.145.360.465.8-118.320.456.57688.392.9
Afschrijvingen & Amortisatie 63.24766.72456.35256.16873.74347.52581.00765.82663.23670.555-24.87769.569.31365.83961.25660.61156.00150.02150.64751.59856.02945.1944.98846.10647.76647.735.833.632.642.938.131.930.73027.2
Uitgestelde Inkomstenbelasting -12.176-24.022-13.619-2.071-22.971-7.70419.026-22.055-1.902-9.419-11.485-2.2090.333-16.815-22.9813.2658.004-12.7263.0217.3647.77917.8919.2768.27310.37102.918.520.4-70.20.19.709.913.9
Aandelen Gebaseerde Vergoedingen 2.7970.8315.0635.6553.5836.2886.2145.8897.2447.8597.3376.525.7625.7674.5994.353.850.6300000000000000000
Verandering in Werkkapitaal -26.405-83.1115.59527.86821.676-49.516-11.05632.34711.936-43.55330.063-24.133-2.643-7.04250.053-24.29134.551-58.5-13.032-26.7677.4392.68-57.8972.489-18.86814.42.1-17.2-3.5-17.6-13.5-17.42.1-4.8-47.9
Vorderingen 21.634-35.294-14.7949.563-5.473-0.621-10.1898.372-13.312-5.404-0.777-3.3793.771-0.59816.542-17.66816.662-5.876004.39900000000000000
Voorraden 9.605-44.43-40.0196.86-17.387-32.1389.198-10.778-8.054-21.4562.704-12.615-7.28-7.59228.207-9.9758.493-8.869-6.195-4.2763.06-2.6123.80111.351-1.96516.40-14.2-5.211.5-10.50.8-3.2-8.21
Crediteuren -62.68616.39865.828-7.23410.33713.77413.065-8.17426.042-4.17524.8226.95313.60621.0642.39-198.365-166.46-225.50300-59.25200000000000000
Overig Werkkapitaal 5.042-19.7844.5818.67934.199-30.531-23.1342.9277.26-12.5183.314-15.092-12.74-19.9162.914201.717175.856181.748-6.837-22.49159.2325.292-61.698-8.862-16.903-22.1-31.7-29.1-3-18.25.33.4-48.9
Overige Niet-Contante Posten 25.024192.8740.6490.07552.015-2.0971.15712.549-11.3464.889105.4393.78924.84865.822-52.501-48.398-65.5464.384-36.376-58.713-37.156-29.01460.5742.540.9642.2-0.9-0.10.5209.5-0.10.81.42.3-0.1
Kasstroom uit Operationele Activiteiten -25.616-40.8270.977108.993102.835-5.952104.262116.11133.74399.577173.635112.846140.307168.005163.86853.425100.332-28.42742.86839.58446.75274.34263.899103.40881.658100.485.296.6115.846.345.481.5110.2125.769.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -33.77-37.74-30.037-28.136-27.765-42.129-132.304-160.158-99.889-66.046-103.047-58.752-64.491-36.491-26.257-52.469-28.96-44.46-31.024-18.587-66.758-51.152-47.845-29.215-24.16-188-57.7-37.5-25.8-83.5-112.8-90.3-46.6-35.4-56.9
Netto Overnames -4.1751.413-464.8561.413-1.383-178.9050.2180.07-0.224-8.015-210.91100-228.2900-7.923-158.442000000-7.3990000000000
Aankoop van Beleggingen 00000000000000000000000000-154.4-0.700-27.20000
Verkoop/verval van Beleggingen 0000000000000000000000000.401158.5002.922.10000158
Overige Investeringsactiviteiten 0.8443.2295.127-0.052.0353.394-0.015-0.7322.8594.4721.52210.04747.6610.56438.80119.27941.61621.07122.99560.6964.3311.49817.2690.1431.9290.312-5.73.43.54.5-4.9-5.57.2
Kasstroom uit Investeringsactiviteiten -37.101-33.098-489.766-26.773-27.113-217.64-132.319-160.888-77.254-69.589-312.436-48.705-16.83-264.21712.544-33.194.733-181.831-8.02942.109-62.427-49.654-30.576-29.072-29.229-29.2-211.1-36.2-28.6-58-136.5-85.8-51.5-40.9108.3
Financieringsactiviteiten:
Schuldaflossingen -0.669-35.287-49.569-76.638-294.722-66.515-9.771-5.314-27.523-30.72-182.23-232.131-141.056-22.548-58.733-34.27-90.572-0.73300-10.1240000-54.1-198.70000-10.1000
Uitgifte van Gewone Aandelen 00000000061.5960253.41427.2320007.5517.4981.4140.9170.54110.4912.96001.13.31.62.62.42.42.11.91.71.5
Terugkoop van Gewone Aandelen 000000000-12.180-5.675-48.03300090.572181.8540010.12400-0.3820-4.3-11.3-19.1-19.10-4.3-19.7-17.3-33.8-25.5
Uitgekeerde Dividenden 0-18.766-24.458-23.492-22.936-22.76-22.48-21.589-20.443-18.696-16.965-15.608-16.611-16.746-16.596-16.469-16.35-16.023-15.839-15.782-26.879-30.307-29.876-29.624-29.51-29.4-29.6-30-30.80-30.8-29.9-27.1-25.8-23.9
Overige Financieringsactiviteiten -0.28100.972536.379-0.176244.884-2.151113.83923.884-0.05-50.881180.14-5.489-1.67298.975037.86-90.5720.792-0.733-44.88823.876-64.789-21.794-10.1362.828-0.1397.30.1-24.1-6.8139.920.30-1.1-131.6
Kasstroom uit Financieringsactiviteiten -0.94946.919462.352-100.306-72.774-91.42681.588-3.019-48.016-50.881163.175-5.489-180.1459.681-75.329-12.879-99.371173.388-15.158-59.753-2.462-84.605-48.71-40.142-26.682-86.8161-47.4-71.4-4.4107.2-37.3-42.5-59-179.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.033-2.341-5.4185.163-0.269-5.5647.244-2.063-3.006-2.1520.8290.75-0.848-3.1012.103-4.9552.1541.413-2.192.4451.4840.490.3360.323-0.619-0.4125.9-60.4-87.211.791.14.3-58.7-84.8-177.6
Netto Kasstroomverandering -59.695-38.15426.771-26.62-16.484-315.01860.775-49.868.473-20.89324.37459.402-57.511-39.632103.1862.4017.848-35.45717.49124.385-16.653-59.427-15.05134.51725.128-16161-47.4-71.4-4.4107.2-37.3-42.5-59-179.5
Kaspositie aan het Einde van de Periode 54.565110.66138.43699.581126.201142.685116.21955.444105.30499.837122.88297.67938.27795.788135.4232.23429.83321.98557.44239.95115.56636.07495.501110.55276.03550.9192.8-28.5-68.314.8110.37.5-14-56.2-174.8