HNI Corporation

NYSE:HNI

53.44 (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 49.2123.959.81141.919110.50393.32689.89885.638105.40661.15563.36948.32645.74827.123-6.25945.45120.378123.375137.42113.58298.10591.3674.407106.21787.4106.38768.141.154.444.638.732.943.2
Afschrijvingen & Amortisatie 94.984.283.14677.68377.42774.78872.87268.94757.56456.72246.62143.3646.28758.6374.86770.15568.17369.50365.51466.70372.77268.75581.38579.04665.55335.625.321.41916.615.514.114
Uitgestelde Inkomstenbelasting -0.6-15.3-0.372-12.0056.753.197-33.60620.49515.25714.65518.4517.0612.47.196-5.8442.6-4.935-3.712-8.9330.708-3.3142.3216.962-7.213613.87.15.1-40.8-2.1-0.21.84.7
Aandelen Gebaseerde Vergoedingen 20.414.12014.714.0677.3177.758.1419.0978.5977.4516.43712.07712.0013.830000000000000000000
Verandering in Werkkapitaal 69.9-80.4-60.16531.932-12.148-8.493-34.37.82-25.494-2.16417.7233.61915.083-23.20889.84227.67595.533-48.347-3.8862.058-38.93920.3746.9825.208-4.9-27.810.3-4.731.1-11.731.8-15.1-2.4
Vorderingen 00000000-3.5928.631-21.029-6.9930000000000000000000000
Voorraden 00000000-4.221-23.4371.6069.546-11.279-4.39119.14631.84220.38-7.123-10.488-9.409-3.0042.34835.0486.41-7.7-4.33.10.26.7-4.6-7.96.6-1.24.6
Crediteuren 00000000-21.12126.9125.86327.6060000000000000000000000
Overig Werkkapitaal 69.9-80.4-60.16531.932-12.148-8.493-34.37.823.44-14.26811.283.4626.362-18.81770.696-4.16775.153-41.2246.60211.467-35.93518.02211.93218.7982.8-23.57.2-4.924.4-7.110.9-4.8-13.9-7
Overige Niet-Contante Posten 37.7-40.236.33167.11330.01816.29530.53532.32111.52228.83111.395.9752.68312.64236.7699.7069.40610.30210.89411.20512.6519.58518.0661.6622.21.50.1-0.1-0.1-0.21.90.10.10.2
Kasstroom uit Operationele Activiteiten 267.681.2131.632214.469219.38186.43133.149223.362173.352167.796165.002144.777134.27894.384193.205174.369291.187159.602201.009194.256141.274202.391227.8204.92156.2146.8141.493.39364.66455.833.858.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -79.1-68.4-66.548-41.802-66.885-63.696-127.391-119.584-114.966-112.713-78.895-60.27-31.143-26.722-17.554-71.496-58.914-59.924-38.912-32.417-34.842-25.885-36.851-59.84-80.4-161.2-85.5-123.8-53.9-35-27.5-29-13.9-20.7
Netto Overnames -36758.1-44.552-58.25866.885-2.85-0.898-34.3020.11-61.823-3.946-26.894-54.99-0.149-0.5-75.479-41.696-78.569-33.804-134.8481.8080-8.748-134.6960000000000
Aankoop van Beleggingen -5.7-2.8-3.411-4.222-6.702-2.676-3.451-8.724-3.66-3.801-1.107-5.554-15.555-15.04-9.71-10.9-24.427-13.6-34.495-24.496-55.068-38.87000000-11.60-5.7000
Verkoop/verval van Beleggingen 5.42.33.2953.6114.8453.13.1978.6193.557.775.0534.7626.4810.62433.87220.15820.5769.17634.90577.807150000.20.10.412.408.50000
Overige Investeringsactiviteiten 1.60.10.210.299-61.03824.90210.5190.9652.09116.3573.4762.1433.6686.2347.1736.19112.4395.952-2.641-0.765-8.3760.859-1.414-2.195-3.91.2-115.69.52.72.1-1-17.3-3.24.2
Kasstroom uit Investeringsactiviteiten -444.8-10.7-111.006-100.372-62.895-41.22-118.024-153.026-112.875-154.21-75.419-85.813-91.54-25.05313.281-131.526-92.022-136.965-74.947-114.719-81.478-63.896-47.013-196.731-84.1-159.9-200.7-101.9-62.8-24.4-34.2-46.3-17.1-16.5
Financieringsactiviteiten:
Schuldaflossingen -248-401.6-2.4-83.179-215.934-352.727-274.343-594.547-455.222-235.595-163.524-179.333-26.523-54.241-219.884-25.3-19.794-162.7560000000000-3.3-3.9-6-10.1-3-4.2
Uitgifte van Gewone Aandelen 2.34.731.1358.06430.47319.60614.22421.59612.27618.4699.5916.3963.1983.0042.8934.1519.7085.78614.99715.57912.0632.0969.4499.5296.53.359.21.81.91.81.10.90.90.9
Terugkoop van Gewone Aandelen -0.3-65.2-59.2-6.764-83.887-30.452-57.505-55.825-26.657-67.908-27.488-21.021-10-17.817255.658-28.553-147.675-203.646-202.217-145.604-21.512-15.736-35.059-17.973-30.9-12.2-4.1-21.9-9.8-29.6-19.6-16-4.2-32
Uitgekeerde Dividenden -58.5-53.2-53.75-52.096-52.232-51.085-49.557-48.495-46.329-44.328-43.494-43.041-41.25-38.737-38.667-38.095-36.408-36.028-33.841-32.023-30.299-29.386-28.373-26.455-23.1-19.7-16.7-15-14.5-13.6-12.6-12.1-11.7-9.9
Overige Financieringsactiviteiten -2.7409.926.183.925140.349322.919339.092614.699449.859284.89158.58147.0055.55350.182-158.6550.6110.808326.377141.03-26.795-20.231-35.142-51.1477.723-2013.135.842.70.1-0.10.137.70.1-0.1
Kasstroom uit Financieringsactiviteiten 188.8-105.4-84.5-50.05-181.231-91.739-28.089-62.572-66.073-44.472-66.335-89.994-69.022-57.609-158.65-37.186-193.361-70.267-80.031-188.843-59.979-78.168-105.13-27.176-67.5-15.574.27.6-25.6-45.4-370.4-17.9-45.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 191000000000000000000000000.1000000000
Netto Kasstroomverandering 11.5-34.9-63.8564.047-24.74653.471-12.9647.764-5.596-30.88623.248-31.03-26.28411.72247.8365.6575.804-47.6346.031-109.306-0.18360.32775.657-18.9874.7-28.614.9-14.6-5.2-7.29.9-1.2-3.6
Kaspositie aan het Einde van de Periode 28.917.452.27116.1252.07376.81923.34836.31228.54834.14465.0341.78272.81299.09687.37439.53833.88128.07775.70729.676138.982139.16578.8383.18122.217.546.131.232.327.632.940.130.231.3