Harley-Davidson, Inc.

NYSE:HOG

39.53 (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 706.586739.214650.0241.298423.635531.451521.759692.164752.207844.611733.993623.925548.078259.66970.641654.718933.8431,043.153959.604889.766760.928580.217437.746347.713267.2213.5174.1166112.5104.318.454.23738.336.2
Afschrijvingen & Amortisatie 158.112151.942165.185185.715232.537264.863222.188209.555198.074179.3167.072168.978191.198274.789246.344242.281204.172213.769205.705214.112196.918175.778153.061133.348113.887.470.255.342.336.95729.422.622.420
Uitgestelde Inkomstenbelasting -30.059-15.936-7.672-44.07921.547-33.98150.855-0.165-16.484-7.62152.58128.45287.873-17.5916.931-49.428-60.529-39.76848.289-41.51342.10538.56-3.5391.36311.41.22.7-8.5-6.3-11.10-1-3-6.40.8
Aandelen Gebaseerde Vergoedingen 82.90154.35342.15623.49433.73335.53932.49132.33629.43337.92941.24440.81538.19230.43117.57624.4730000000000000000000
Verandering in Werkkapitaal 24.319-388.403-69.166178.377-58.429204.544-55.98644.726-8.354-44.587-95.646-114.07882.098206.512-47.266-80.306-48.509-18.805-5.085-24.866-18.64453.82777.76149.609000000-15.810.4-9.7-1610
Vorderingen -11.782-82.385-53.463127.65744.9029.143-18.149-45.934-13.665-9.809-36.653-13.6943.052.9058.809-4.47400000000.00800000000000
Voorraden 21.257-254.17-207.5580.858-47.576-31.059-20.58485.072-155.222-50.886-46.47421.459-94.9572.51685.472-45.094-48.019-54.3525.475-19.16710.43-37.0410-0.019000000012.33.2-22.32.4
Crediteuren 28.574.503173.548-35.669-29.581196.96510.12838.237138.82319.128-53.623-10.798120.291215.013-239.0092.58500000000.06300000000000
Overig Werkkapitaal -13.726-56.35118.2995.531-26.17429.495-27.381-32.64921.71-3.0241.104-111.04913.714-13.92297.462-33.323-0.4935.547-10.56-5.699-29.07490.86877.76149.5560000000-1.9-12.96.37.6
Overige Niet-Contante Posten -186.9727.291195.174833.085215.249203.505233.754195.723145.242137.04577.85-55.016-62.148338.535314.784-1,476.387-2,800.46580.138-248.003-67.773-45.754-68.83692.23433.45623.71662.715.520.6-49.336.6-5.1-0.1-0.5-3.2
Kasstroom uit Operationele Activiteiten 754.887548.461975.7011,177.89868.2721,205.9211,005.0611,174.3391,100.1181,146.677977.093793.076885.2911,092.345609.01-684.649798.146761.78960.51969.726935.553779.546757.263565.489416.1318.1309.7228.3169.180.896.287.95046.561.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -207.404-151.669-120.181-131.05-181.44-213.516-206.294-256.263-259.974-232.319-208.321-189.002-189.035-170.845-116.748-232.169-242.113-219.602-198.389-213.55-227.23-323.866-290.381-203.611-165.8-182.8-186.2-178.8-113-94.7-65.6-47.2-47.8-38.4-23.6
Netto Overnames 0000-7000-59.9104.9984.993-138.025-84.2171,417.911-95.554000000-1.873-18.77700000000000
Aankoop van Beleggingen 0000181.44-10.0070000-4.998-4.993-2,764.677-100.148-1,417.911-608.621-467.609-970.935-1,352.428-1,091.326-1,143.898-1,508.285-247.98900-2.3-1.500000000
Verkoop/verval van Beleggingen 000010.00706.91640.01411.50741.0135.1118.3032,890.1784.21761.17545.281,125.3441,224.4471,783.503742.2841,1451,190.11451.978000000000000
Overige Investeringsactiviteiten -304.9-621.342-339.26664.267-511.133-438.746-363.09-176.482-607.471-553.341-395.656-90.612138.025416.43-807.909-2.183-24.417-69.169-55.589-145.158-258.534-375.955-283.69751.356-133.8-155.1-218.8-35-72-1.9-1.4-2.8-0.7-1.616.7
Kasstroom uit Investeringsactiviteiten -512.304-773.011-459.447-66.783-508.126-662.269-562.468-392.731-915.848-744.65-568.867-261.311-63.542145.437-863.487-393.247391.205-35.259177.097-707.75-484.662-1,017.992-771.962-171.032-299.6-340.2-406.5-213.8-185-96.6-67-50-48.5-40-6.9
Financieringsactiviteiten:
Schuldaflossingen -153.85-2,695.782-1,733.232-2,760.579-2,584.71-1,483.442-1,420.898-1,334.048-1,691.193-1,742.087-160.047-2,595.494-1,755.051-2,477.422-1,596.499-400-351.897-493.125-80.72000000-55.300-33.8000000
Uitgifte van Gewone Aandelen 002.4884,130.7083.589135.3561,587.7621,271.5743,108.5332,025.59850.56745.9737.847.8450.0111.17921.478125.80131.26462.17119.37812.67928.83914.59224.623.812.8202.712.25.58.3000
Terugkoop van Gewone Aandelen -363.987-338.627-11.623-8.006-296.52-390.606-465.263-465.341-1,537.02-615.602-479.231-311.632-224.548-1.706-1.92-250.41-1,153.439-1,061.968-1,054.615-564.132-103.88-56.814-111.552-126.002-130.3-15.200-40000000
Uitgekeerde Dividenden -96.31-93.18-92.426-68.087-237.221-245.81-251.862-252.321-249.262-238.3-187.688-141.681-111.011-94.145-93.807-302.314-260.805-212.914-173.785-119.232-58.986-41.457-35.428-30.072-27-24.2-21-17.1-13.6-10.7-4.60000
Overige Financieringsactiviteiten 131.8012,925.622-47.6579.9472,402.6391,969.7398.45845.74614.87834.295113.6632,021.1431,773.826709.3383,074.1522,244.935706.861,005.1836.065305.047224.118165.528152.542-16.65434.4110.711093.674.2-4.13.6-33.115.4-31.6-67.5
Kasstroom uit Financieringsactiviteiten -174.646-201.967-1,884.9311,373.983-712.223-14.763-541.803-734.39-354.064-536.096-393.209-981.691-308.944-1,856.091,381.9371,293.39-1,037.803-637.023-1,271.791-316.14680.6379.93634.401-158.136-98.339.8101.896.5-10.5-2.64.5-24.815.4-31.6-67.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.697-19.525-15.27218.712-2.305-15.35126.747-9.443-14.677-25.863-16.543-8.886-7.7884.945.581-24.7912.9097.924000000022.196.8-14.515.915.8-29.2-37.9-1.5-6.5-54.2
Netto Kasstroomverandering 69.849-446.042-1,383.9492,503.802-354.382513.538-72.46337.775-184.471-159.932-1.526-458.812505.017-614.5631,036.875190.704164.45797.422-134.184-54.17531.521-158.5119.702236.32118.239.8101.896.5-10.5-2.64.5-24.815.4-31.6-67.5
Kaspositie aan het Einde van de Periode 1,638.4481,579.1772,025.2193,409.168905.3661,259.748687.521759.984722.209906.681,066.6121,068.1381,526.951,021.9331,630.433593.558402.854238.397140.975275.159812.449280.928439.438419.736183.4187.3244.312847.475.148.66.129.47.5-15.1