Granite Construction Incorporated

NYSE:GVA

87.82 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 43.59978.8572.414-166.181-56.70253.74175.80166.268.24835.876-44.76659.9266.085-62.448100.201122.404112.06580.50983.1557.00760.50449.27950.52855.81552.946.527.827.328.519.53.53.917.618.814.215
Afschrijvingen & Amortisatie 92.2782.56930.79305.421213.893122.38769.6950.11812.6493.112-11.99531.8920165.79755.17291.55782.15769.1871.75868.4771.64464.46654.9950.52542.438.138.237.832.525.725.42625.222.819.417.3
Uitgestelde Inkomstenbelasting 26.5565.44716.68.817-22.92420.01-4.8249.84228.25814.907-19.5576.0130-39.28921.1071.19-7.822-29.462-8.839-5.8684.089-3.3115.6652.24510.20.74-5.83.4-4.4-0.81.8-0.4-2.70
Aandelen Gebaseerde Vergoedingen 10.4777.7656.4076.37710.21314.78415.76413.3838.76311.1613.44311.47512.15513.0410.7657.4630006.0115.951000000000000000
Verandering in Werkkapitaal 1.157-115.067-43.728103.604-37.062-129.448-9.297-53.602-49.896-19.2723.521-14.417-43.788-37.172-126.041-6.13231.642133.963-11.997-25.789-36.141-8.39327.654-31.244-3.711-4.4-9.312.1-0.26.6-0.80.6-7.84.842.2
Vorderingen -78.40859.623-11.3176.84-58.947-4.584-60.272-75.756-32.8773.54912.2369.415-74.955-36.836-91.477100.533000-28.222-22.314000000000000000
Voorraden -1.43-14.3070.7745.1360.38-2.12-7.2520.30813.367-6.446-2.689-8.5580.043-8.2146.326-10.812-9.913-8.368-1.45-1.8330.106-1.352-2.999-2.624-0.1-0.51.2-3.31.5-0.7-0.10.5-0.1-0.9-0.50
Crediteuren 66.828-9.7787.396-40.999140.027-26.73236.71637.7318.363-12.669-34.048-9.47228.96-1.871-43.48-38.95600038.43116.655000000000000000
Overig Werkkapitaal 14.167-150.605-40.581132.627-118.522-96.01221.511-15.885-38.749-3.70448.022-5.8022.1649.7492.59-56.89741.555142.331-10.547-34.165-30.588-7.04130.653-28.62-3.611.5-5.6-610.60.56.7-1.30.7-6.95.30
Overige Niet-Contante Posten 9.648-3.9249.44810.4224.024.916-0.939-12.795-1.044-2.64344.734-3.09357.893-10.613.09740.85411.43524.18812.42949.116-28.4582.004-14.206-2.4950.1-0.21.5-0.10.1-0.23.345.53.50.1-74.5
Kasstroom uit Operationele Activiteiten 183.70755.64721.931268.46111.43886.39146.19573.14666.97843.1425.3891.7992.34529.31864.301257.336234.788259.643146.501148.94777.589104.045124.63174.8461009663.858.268.948.233.132.350.736.937.642.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -140.384-121.612-94.81-93.253-106.828-111.101-67.695-90.97-44.179-43.428-43.682-37.622-45.035-37.004-87.645-94.135-118.612-116.238-102.829-89.636-62.805-57.415-65.265-52.454-82-52.5-48.4-46.1-36-39.1-17.9-17.6-29.9-27.4-20.60
Netto Overnames -212.609140.576114.92816.702-6.227-7.21510.20212.94613.14828.614-8.382-79.641.458-1.658-4.9696.257-76.42716.39825.01224.3898.498-36.034-11.44.6919.15.44.783.45.52.61.10000
Aankoop van Beleggingen -9.74-94.104-10-9.99637.091-9.952-124.543-129.685-104.971-64.975-74.924-124.596-159.51-137.534-107.011-71.63-152.954-233.868-96.877-96.975-190.957-494.633-139.092-84.671-98.1-91.1-27.4-45.6-56.3-54.2-49.8-0.1-8.7-19.800
Verkoop/verval van Beleggingen 4045.006-114.92839.9963075120105104.268068.65165.1145.74294.20444.936130.589195.313153.024113.734113.243191.863430.549113.29592.944110.850.542.556.742.751.148.84.70018.70
Overige Investeringsactiviteiten 6.74319.13483.3325.2895.64213.672.856.3191.0350.56926.6934.20429.61721.55724.8110.662-14.064-2.999-3.8257.55220.36223.4235.339-19.47660.5-20.6-8.9-2.8-1.2-1.6-2.4-0.32.22.80
Kasstroom uit Investeringsactiviteiten -315.99-11-21.478-41.262-40.322-39.598-59.186-96.39-30.7070.78-31.648-42.554-27.728-60.435-129.879-18.257-166.744-183.683-64.785-41.427-33.039-134.11-97.123-58.966-54.2-87.2-49.2-35.9-49-37.9-17.9-14.3-38.9-450.90
Financieringsactiviteiten:
Schuldaflossingen -362.767-125.164-8.922-83.433-313.15-153.924-45-45.025-46.763-1.226-12.148-11.751-16.907-19.829-18.856-17.092-190.66200-18.561-11.03100000-10.5000000000
Uitgifte van Gewone Aandelen -0005011.5203.252530300070.4952.1221.91811.5783.7250.482.59900.1610.0432.95300.43100.80.20.71.10.100023.100
Terugkoop van Gewone Aandelen -4.124-70.898-2.73-0.885-36.9-16.557-6.977-5.227-3.777-5.124-5.896-4.853-4.029-3.641-3.431-45.54-98.014-7.375-5.263-6.427-1.316-13.185-2.455-2.854-25-2.4-3.1-0.50-2.300-0.2000
Uitgekeerde Dividenden -22.811-23.271-23.804-23.712-24.316-22.424-20.687-20.563-20.445-20.319-20.21-20.117-41.698-41.648-46.076-20.055-16.764-16.7220-16.636-15.763-13.197-12.59-11.713-10.6-7.7-6.6-6.6-4.70-2.3-2.3-2.3-1.200
Overige Financieringsactiviteiten 645.65755.02211.010.372281.229-12.2195.040.5491.5899.587-28.347-18.010.8637.3830.476-51.708384.457-49.45-38.19925.6511.404-19.64854.952-5.817-10.88.621.10.3-11.5-11.3-15.5-12.1-13.4-29.4-18.40
Kasstroom uit Financieringsactiviteiten 255.955-164.311-24.446-57.658-81.637-1.874-42.624-40.266-39.396-17.082-66.60115.764-59.649-55.817-56.309-130.6779.497-70.948-43.462-15.812-26.663-43.07739.907-19.953-46.4-0.71.1-6.1-15.1-13.5-17.8-14.4-15.9-7.5-18.40
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 12.79300000000000000000000000-0.1-8.8-14.6-22.3-19.9-10.3-15.2-18-11.88.1-38.50
Netto Kasstroomverandering 123.672-119.664-23.993169.54-10.52144.91844.385-63.51-3.12526.84-92.869654.968-86.934-121.887108.409147.5415.01238.25491.70817.887-73.14267.415-4.073-0.7-0.71.1-6.1-15.1-13.5-17.8-14.4-15.9-7.5-18.442.2
Kaspositie aan het Einde van de Periode 417.663293.991413.655437.648268.108278.629233.711189.326252.836255.961229.121321.99256.99252.022338.956460.843352.434204.893199.881161.62769.91952.032125.17457.75961.853.739.816.32.57.45.75.48.132.11.142.2