Helen of Troy Limited

NASDAQ:HELE

59.23 (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 168.594143.273223.764253.946152.333174.224128.882140.689101.228131.16486.248115.666110.37493.30571.817-56.79361.50950.08749.3176.4560.52238.71629.21517.33213.11128.322.317.213.111.27.912.97.2
Afschrijvingen & Amortisatie 51.49944.68335.82937.71837.40929.92733.7344.34142.74939.65334.7535.32830.17818.50215.26114.18514.29814.30112.4279.7086.1286.5588.638.1376.921542.72.221.61.92
Uitgestelde Inkomstenbelasting 13.21-2.242-8.871-4.4-5.6967.63621.264-7.254-0.464-1.83-10.109-12.0615.072.2193.3162.3791.377-0.677-2.954-1.725-1.7912.581.391-2.148-1.112-0.5-0.2-0.5-0.40.30-0.10
Aandelen Gebaseerde Vergoedingen 33.87226.75334.61826.41822.92922.05315.05415.4988.4835.97431.6835.9132.9282.0171.7441.4881.1620.693000000000000000
Verandering in Werkkapitaal 53.525-15.566-152.639-18.2319.299-34.8441.94819.1038.357-7.552-0.937-57.651-45.378-31.75358.915-52.44529.3526.381-21.502-43.585-0.4749.2069.372-26.1627.712-22-8.5-20.7-11.5-13.93.44.713.7
Vorderingen -18.66883.624-66.83433.416-57.424-5.784-34.379-6.827-3.604-9.4876.265-24.624-7.368-0.166-6.622-3.41717.582-8.455-37.473-37.473-15.674000000000000
Voorraden 58.192110.304-45.913-220.81745.482-50.82829.36618.967-17.6062.274-8.383-34.625-28.912-26.04945.653-24.2657.03924.331-30.926-33.418-3.279-11.6618.238-20.011-6.671-15.7-3.1-19.7-2.5-7.51.58.112.6
Crediteuren 54.403-115.931-43.745175.7847.16614.21923.6895.7977.04416.5023.7332.507-3.476-8.131.121-8.8064.9687.60418.5515.229-0.721000000000000
Overig Werkkapitaal -40.402-93.5633.853-6.61324.0757.549-16.7281.16622.523-16.841-2.552-0.909-5.6222.59218.763-15.957-0.2392.90128.34712.07719.220.866-8.866-6.15114.383-6.3-5.4-1-9-6.41.9-3.41.1
Overige Niet-Contante Posten 28.3111.3418.12218.65445.019-3.69323.32916.12424.90811.19412.530.3630.7083.141.046113.1132.21-0.379-2.5260.00111.828-13.5473.9812.4571.998-0.103.200.30.9-2.11.5
Kasstroom uit Operationele Activiteiten 306.067208.242140.823314.106271.293195.303224.207228.501185.261178.603154.16587.558103.8887.43152.09921.927109.90690.40634.75545.36876.21343.51352.589-0.18528.6311.717.61.93.4-0.113.817.324.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -36.644-174.864-78.039-98.668-17.759-26.385-13.605-20.619-20.603-6.521-40.463-14.688-16.051-4.629-7.715-5.859-7.709-7.395-52.367-286.263-65.119-42.865-0.878-3.185-8.34-17.7-3.3-13.3-4.6-0.6-1.9-16.2-0.4
Netto Overnames 1.62-144.538-366.180-255.8611.1380.013-209.267-43.15-195.94300-160-336.24-60-4.765-36.5000-0.97500-2.205-1.79800000000
Aankoop van Beleggingen -9.6050000000000018.954.629-0.009-0.786-178.275-148.62500-0.197000000000000
Verkoop/verval van Beleggingen 0.6220000000000022.4210.351.24641.175170.292.875001.25200000000000.20
Overige Investeringsactiviteiten 49.4560.0695.305-98.6680.0031.13849.2390.0320.007-6.5210.0050.763-17.344-4.5510.0452.6134.9640.66617.1037.1491.579-17.664-4.857-7.904-4.589-18.7-2.1-9.80.3-1.81.24.2-1.1
Kasstroom uit Investeringsactiviteiten 5.449-319.333-438.914-98.668-273.617-25.24735.634-229.854-63.746-202.464-40.458-13.925-152.024-340.441-66.43332.378-47.32-62.479-35.264-279.114-63.46-60.529-5.735-13.294-14.727-36.4-5.4-23.1-4.3-2.4-0.7-11.8-1.5
Financieringsactiviteiten:
Schuldaflossingen -271.101-815.132-529.6-930.3-754.4-29.9-718.2-604.1-611.9-528.4-209.3-326.75-1,322.75-26-78-3.15700-200-2000000000000000
Uitgifte van Gewone Aandelen 4.23518.365188.2045.20510.1698.6765.7957512.02500000004.8543.9862.1943.1228.0260.560.9020.2240.7471.16.71.40.210.71.30.1
Terugkoop van Gewone Aandelen -55.222-18.365-188.204-203.294-10.169-217.493-65.795-75-100-273.599-1.311-1.7590-1.799-0.419-7.271-5.7310-11.242-11.242-15.17200-4.623-4.0760000-9.3000
Uitgekeerde Dividenden 000000000000000000000000000000000
Overige Financieringsactiviteiten -2.025921.915815.952938.809769.328.67919.073808.374803.89768.128154.089245.8721,365.547197.7950.2860.947-39.313-14.778412.341825.5718.0260-9.49.55-101.7111.5137.5-8.2-2.9-14.3
Kasstroom uit Financieringsactiviteiten -322.088106.783286.352-194.78514.92-178.923-262.19-201.3691.99-33.871-56.522-82.63742.797169.996-78.133-9.481-40.19-10.792-2.923202.451-7.1460.56-8.4985.151-13.3292.817.72.913.2-0.8-7.5-1.6-14.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000-0.0010000024.7-12.221.20.92.5-13.1-5.5-22.9
Netto Kasstroomverandering -10.572-4.308-11.73920.65312.596-8.867-2.349-202.713213.505-57.73257.185-9.004-5.347-83.0157.53344.82422.39617.135-3.432-31.2965.607-16.45638.356-8.3280.5742.817.72.913.2-0.8-7.5-1.6-14.2
Kaspositie aan het Einde van de Periode 18.50129.07333.38145.1224.46711.87120.73823.087225.812.29570.02712.84221.84627.193110.208102.67557.85135.45518.3221.75253.04847.83764.29325.93734.26558.543.547.145.134.422.224.22.9