High Liner Foods Incorporated

TSX:HLF.TO

13.06 (CAD) • At close November 1, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7.30.1550.44332.9353.1449.5684.73818.2521.0431.0441.2060.0653.1930.8041.8285.7787.1330.2060.4990.4210.7140.6910.3690.7385.1780.264.6120.2191.320.0710.98
Kortetermijnbeleggingen 3.1965.6620.540.2110.2362.5040.571.7056.4534.1391.5240.5330000000000000000000
Liquide middelen en kortetermijnbeleggingen 10.4965.8170.98333.1463.3812.0725.30819.9577.4965.1832.730.5983.1930.8041.8285.7787.1330.2060.4990.4210.7140.6910.3690.7385.1780.264.6120.2191.320.0710.98
Nettovorderingen 103.798101.67792.99263.53688.58391.284105.92878.97381.55389.15394.84380.33686.65751.11156.96252.52171.77226.92322.81323.43124.55322.23318.37320.43520.71420.01716.35216.41916.7915.10613.563
Voorraad 295.624472.311308.183250.861294.913301.411353.433252.118261.771261.9254.072222.313255.955133.337111.961120.676108.64335.41451.04137.70138.45731.79438.58233.41437.56151.92732.49541.44834.60734.48829.086
Overige vlottende activa 7.396.2543.4194.1764.3224.3333.4623.342.0513.0833.4947.811.3184.2685.4962.7246.0043.2521.0196.6756.9615.4574.4892.0712.6240.910.5591.0220.7330.6410.754
Totaal vlottende activa 417.308586.059405.577351.719391.198409.1468.131354.388352.871359.319355.139311.057350.08189.52176.248181.699193.55265.79475.37268.22770.68660.17461.81456.65966.07673.11454.01859.10753.4550.30644.382
Niet-vlottende activa:
Materiële vaste activa, netto 136.059127.226126.893122.239120.778114.371120.289111.322115.879114.23197.50389.26897.87858.68255.73348.49358.07822.33923.20623.83421.225.4829.42230.41931.76141.78938.43540.64546.26440.68745.588
Goodwill 157.363157.134157.772157.697157.457157.07157.881118.101117.824126.51111.999111.085124.17943.52326.87125.281000.159000000000000
Immateriële activa 121.899129.074135.195142.168148.893155.594158.04497.176102.315100.219105.253110.631100.98820.52618.52419.77443.1810035.79335.30435.35635.5736.64737.6327.8160002.1383.466
Goodwill en immateriële activa 279.262286.208292.967299.865306.35312.664315.925215.277220.139226.729217.252221.716225.16764.04945.39545.05543.18100.15935.79335.30435.35635.5736.64737.6327.8160002.1383.466
Langetermijnbeleggingen 0000000001.67800.0960.2690.2940.2280.10900-0000000000000
Belastingvorderingen 000.0242.4012.1340.0072.7872.292.4953.3724.6567.2071.6600.3270.6841.6932.5783.6965.2445.6153.1994.60900000000
Overige niet-vlottende activa 1.773.9931.0080.3340.0341.0130.8370.8641.683-0.0011.9061.9391.2773.0576.922.8576.8926.3864.1235.8164.2587.5095.44114.56916.3644.6147.8975.3277.3326.4139.796
Totaal niet-vlottende activa 417.091417.427420.892424.839429.296428.055439.838329.753340.196346.009321.317320.226326.252126.083108.60197.199109.84431.30331.18470.68766.37771.54575.04181.63585.75474.21846.33145.97253.59649.23858.85
Totaal activa 834.3991,003.486826.469776.558820.494837.155907.969684.141693.067705.328676.456631.283676.332315.603284.849278.898303.39797.098106.556138.915137.063131.719136.855138.294151.83147.332100.349105.079107.04699.544103.233
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 133.087172.777149.46998.918122.499146.99198.329119.978112.39374.64789.421100.897106.3264.08951.37760.48651.56823.23924.39926.08428.85926.9921.63724.78421.12821.25218.30924.37224.34224.58330.216
Kortlopende schulden 12.773139.67614.3425.05156.63945.17954.0661.34229.98969.12498.20694.98122.02447.70226.43233.18762.4899.15821.8136.4598.15910.11220.76310.37914.98325.47612.29919.77516.7914.3226.857
Belastingschulden 0.10.1630.0350.0412.1020.58500.8512.2420.022.5431.1651.9493.2220.0272.007000000000000000
Uitgestelde opbrengsten 2.8132.9521.5854.3513.5814.77211.85916.53110.44813.71916.5772.7792.613.2220.02700-00-0000-10.379000-19.775-16.79-14.322-6.857
Overige kortlopende verplichtingen 14.69220.94621.64124.24226.91212.542.1312.0420.8170.580.4592.1540.777002.0070.441000-03.7860.06810.3793.176-0.0650.0719.77516.7914.3226.857
Totaal kortlopende verplichtingen 163.365336.351187.035152.562209.631209.481266.385139.893153.647158.07204.663200.81231.732115.01277.83695.68114.49932.39746.21232.54437.01840.88742.46835.16339.28746.66330.67844.14841.13238.90637.073
Langlopende verplichtingen:
Langetermijnschulden 240.788241.013251.845278.77296.218323.081335.848267.029281.732293.245228.576215.54235.147.04650.13452.9652.4770.4090.5450.650.65231.37641.35751.85363.72953.74748.98744.58651.76352.51562.166
Uitgestelde opbrengsten niet-vlottend 9.923012.98916.31412.9710.78511.2238.199.6318.8677.92913.79100.844.251000000-00-00000000
Uitgestelde belastingverplichtingen niet-vlottend 28.47638.11234.17931.07130.18228.45123.94345.18346.96646.47643.99845.12640.2548.854.38900006.0454.8982.5431.2910.50800.390.4190.730.80700
Overige niet-vlottende verplichtingen 5.99114.5937.8976.8393.3231.4981.7031.0840.5721.6966.6412.66211.0420.6711.1742.1984.2683.1760-00.8810.3630.3520.4530.55200.07-0000.075
Totaal niet-vlottende verplichtingen 285.178293.718306.91332.994342.693363.815372.717321.486338.901350.284287.144277.119286.39657.40759.94855.15856.7453.5850.5456.6956.43134.2824352.81464.28154.13749.47645.31552.5752.51562.241
Totaal passiva 448.543630.069493.945485.556552.324573.296639.102461.379492.548508.354491.807477.929518.127172.42137.784150.838171.24435.98246.75739.23843.44975.16985.46887.977103.568100.79980.15489.46393.70291.42199.314
Eigen vermogen:
Preferente aandelen 000000000000000050.76217.15917.22116.63715.42313.49513.39114.29915.12114.23315.30415.98116.05715.60516.502
Gewone aandelen 113.203113.096113.458112.739112.887112.887112.83586.09485.28282.65880.2675.1690000024.1130000000000000
Ingehouden winsten 280.615265.294219.965183.649162.773161.377159.157146.34125.843107.90890.79266.37375.19172.50160.5654140.50531.0631.02566.28658.03623.55318.39816.77114.0857.4742.865-3.211-5.499-73.251-82.134
Overige gereserveerde algehele resultaten -23.376-22.464-18.376-21.937-23.518-25.762-17.479-24.326-24.605-7.648-0.1844.093-1.681-19.34-15.708-3.45-18.985-11.648-12.95-10.218-6.0871.4871.8950.531-0.3456.7590.210.1460.147-0.428-0.226
Overige totale aandeelhoudersvermogen 15.41417.49117.47716.55116.02815.35714.35414.65413.99914.05613.7817.71984.69489.972102.20890.5159.8710.43224.50226.97226.24218.01517.70218.71619.40218.0671.8171.971.9866.05469.776
Totaal eigen vermogen van aandeelhouders 385.856373.417332.524291.002268.17263.859268.867222.762200.519196.974184.649153.354158.205143.133147.065128.06132.15361.11559.79999.67693.61456.5551.38650.31748.26246.53320.19614.88612.6847.9813.918
Totaal eigen vermogen 385.856373.417332.524291.002268.17263.859268.867222.762200.519196.974184.649153.354158.205143.183147.065128.06132.15361.11559.79999.67693.61456.5551.38650.31748.26246.53320.19615.61613.3448.1233.918
Totaal passiva en aandeelhoudersvermogen 834.3991,003.486826.469776.558820.494837.155907.969684.141693.067705.328676.456631.283676.332315.603284.849278.898303.39797.098106.556138.915137.063131.719136.855138.294151.83147.332100.349105.079107.04699.544103.233