Hovnanian Enterprises, Inc.

NYSE:HOV

140.94 (USD) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 209.976434.119326.198245.97262.489130.976187.871469.32346.765253.745261.898329.204273.232250.74359.124419.955848.05616.23354.323229.49978.024128.221262.67516.14943.25330.115.6815.311.914.510.212.312.321.20000
Kortetermijnbeleggingen 0000000000000000000187.2050000000000000000000
Liquide middelen en kortetermijnbeleggingen 209.976434.119326.198245.97262.489130.976187.871469.32346.765253.745261.898329.204273.232250.74359.124419.955848.05616.23354.323416.70478.024128.221262.67516.14943.25330.115.6815.311.914.510.212.312.321.20000
Nettovorderingen 29.427.98237.83739.93433.68644.91435.18958.149333.359360.62892.54645.08561.79452.27761.02344.418205.592304.266354.564135.29156.75342.50626.27675.80236.1932.429.535.726.427.828.728.06290.4100.7100.789.7000
Voorraad 1,644.8041,349.1861,519.1841,254.261,195.7751,292.4851,078.1651,009.8271,283.0841,644.5781,344.311,078.764890.847968.1121,001.941,109.9132,159.0823,518.3344,070.8413,436.622,467.3091,660.0441,081.582740.114614.983527.1375.7410.4376.3404.4386.5243.4194.3206.9218.50000
Overige vlottende activa 7.875215.141210.57772.275143.74965.78951.49438.57549.667233.186192.408211.967233.049000-126.826174.032175.603125.662097.40786.58240.20264.8975.232.639.235.128.626.8111.0643.63.50.60000
Totaal vlottende activa 1,892.0552,026.4281,960.4851,612.4391,565.3861,534.9841,353.1831,576.3992,222.4852,493.4642,177.3151,657.21,380.6941,416.4451,470.0471,682.5423,377.6544,031.0314,666.3954,114.2772,736.5421,928.1781,457.115910.861759.323594.8453.4493.3453.1472.7456.5358.2300.6323.4329.40000
Niet-vlottende activa:
Materiële vaste activa, netto 43.43159.69125.81918.73618.18520.12720.28552.91950.33245.53446.74446.21148.52453.26662.76773.91892.817106.792110.70496.89144.13726.26319.24240.64635.59437.345.553.370.27890.170.781.8100.498.50000
Goodwill 0000000000000000032.65832.65800000000000000000000
Immateriële activa 000000000000000004.224165.053282.164158.15139.63682.2750000000000000000
Goodwill en immateriële activa 000000000000000036.88336.882197.711282.164158.15139.63682.2750000000000000000
Langetermijnbeleggingen 142.9197.88674.9460.897103.164127.038123.694115.09100.50261.20963.88351.43861.08357.8263841.26-142.1850000000000000000000000
Belastingvorderingen 241.064302.833344.793425.678000000000000105.3020000000000000000000000
Overige niet-vlottende activa 286.1146.102155.993202.758140.607199.275164.88156.496.1212.0911.9884.281193.94974.643246.746226.857166.851365.843505.225226.623217.438238.294119.496112.75178.62480.890.290.590.894.766.336.117.114.123.40000
Totaal niet-vlottende activa 713.519466.512601.545708.069261.956346.44308.859324.499156.955108.834112.615101.93303.556185.735347.513342.035259.668509.517813.64605.678419.725404.193221.013153.397114.218118.1135.7143.8161172.7156.4106.898.9114.5121.9431.6318.1278.2236.9
Totaal activa 2,605.5742,492.942,562.032,320.5081,827.3421,881.4241,662.0421,900.8982,379.442,602.2982,289.931,759.131,684.251,602.181,817.562,024.5773,637.3224,540.5485,480.0354,719.9553,156.2672,332.3711,678.1281,064.258873.541712.9589.1637.1614.1645.4612.9465399.5437.9451.3431.6318.1278.2236.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 433.273387.149439.952426.381148.541141.667127.795128.844160.924144.735119.65798.58589.3199.932101.09340.229431.254189.688213.943518.99335.701235.903303.07129.38987.2975.253.847.647.550.845.146.63212.59.710.314.6000
Kortlopende schulden 0000000301.27752157.075138.43391.663107.48574.267109.984141.714107.913203.548319.943198.856188.417166.71185.49898.305352.91640.11245.855.241.920.639.30767.771.681.80000
Belastingschulden 5.4791.8613.1673.8513.8322.3013.3342.2270003.3010000-46.440000000000000000000000
Uitgestelde opbrengsten 0074.0268.29548.28635.87230.08633.77237.42944.21834.96930.11923.84616.67000151.5200009.55511.77000000000000000
Overige kortlopende verplichtingen -433.273236.878-513.972-494.676246.296-141.667177.104-166.976386.317242.969221.927300.43357.05256.84255.05818.811126.071432.281707.884509.956148.291197.66164.84450.88445.24925.627.622.312.411.612.110.5984.86.214.2-14.6000
Totaal kortlopende verplichtingen 5.479625.888549.554526.681446.955358.366338.319423.056636.67588.997514.986461.108600.318432.852497.273500.754567.843803.7881,099.4371,227.802672.409600.275453.412278.578485.455140.993.4115.7115.1104.377.8172.88587.5106.30000
Langlopende verplichtingen:
Langetermijnschulden 986.8931,161.0091,302.1391,392.4141,587.2811,702.6561,570.3921,649.2341,702.1852,006.4211,716.571,610.0811,599.2731,648.6391,636.1171,777.7792,578.2822,161.2942,100.8831,498.7391,033.259802.166661.39410.034418.15331.8288.7336.5299.4359.1367.4106.6155214.3175.8193.848.747.947.8
Uitgestelde opbrengsten niet-vlottend 0000035.87230.08633.77237.42944.21834.96930.119000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00000-35.872-30.086-33.772-10.572-16.31-12.6912.755041.8290000000000000000000000000
Overige niet-vlottende verplichtingen 812.853254.456325.868178.376672.323310.178206.835288.979379.68336.32316.743287.11599.372-24.53822.10858.879135.077189.935205.06720.808674.04815.6750.7770-293.4233.85.66.165.75.633.717.510.728.5117.9177.6161.5148.9
Totaal niet-vlottende verplichtingen 1,799.7461,415.4651,629.4251,618.4431,816.4812,012.8341,777.2271,938.2131,871.282,141.3851,892.7431,730.8211,569.2771,665.931,658.2251,840.1332,713.3592,351.2292,305.951,519.5471,132.896817.841662.167410.034124.727335.6294.3342.6305.4364.8373140.3172.5225204.3311.7226.3209.4196.7
Totaal passiva 1,805.2251,911.1512,178.9792,145.1242,263.4362,371.22,115.5462,361.2692,507.952,730.3822,407.7292,191.9292,169.5952,098.7822,155.4982,340.8873,281.2023,155.0173,405.3872,747.3491,805.3051,418.1161,115.579688.612610.182476.5387.7458.3420.5469.1450.8313.1257.5312.5310.6311.7226.3209.4196.7
Eigen vermogen:
Preferente aandelen 135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299135.299000.2800000000000000000
Gewone aandelen 590.9140.070.0690.0680.0670.0671.6081.61.5971.591.5831.5161.4541.0740.9010.8960.8910.7460.740.7340.7220.0780.3530.3240.2520.30000000000000
Ingehouden winsten 74.136-157.197-352.413-567.228-1,175.045-1,225.973-1,183.856-1,188.376-856.183-853.364-837.264-1,144.408-1,175.703-1,109.506-823.419-826.007-109.2951,024.0171,661.811,522.9521,053.863705.182447.802310.106246.42213.3183.2157.8164.7147.5133.3125.1115.3112.9128.1106.377.551.332.8
Overige gereserveerde algehele resultaten 000-00-0-39.787-69.342-69.715-72.029-73.599-75.175-75.686-75.384-73.038-67.372-70.5-57.4-43.7-19.648-11.784-27.4-0.021-0.127-22.164-19.6-16.9-27.4-27.4-23.1000000000
Overige totale aandeelhoudersvermogen 0603.564600.081606.758602.75600.144634.776729.79660.492732.449729.781649.542553.375631.908348.651341.11298.668157.04139.613151.93149.593114.172114.41565.34316.68742.41848.456.351.928.87.90126.712.512.613.614.317.57.4
Totaal eigen vermogen van aandeelhouders 800.349581.736383.036174.897-436.929-490.463-453.504-460.371-128.51-128.084-117.799-433.226-485.575-496.694-338.568-349.598330.2641,321.8031,942.1631,791.3571,192.394819.712562.549375.646263.359236.4201.4178.8193.6176.3162.1151.9142125.4140.7119.991.868.840.2
Totaal eigen vermogen 800.349581.789383.051175.384-436.094-489.776-453.504-460.371-128.51-128.084-117.799-432.799-485.345-496.602-337.938-316.31356.121,385.5312,074.6481,972.6061,350.962914.255562.549375.646263.359236.4201.4178.8193.6176.3162.1151.9142125.4140.7119.991.868.840.2
Totaal passiva en aandeelhoudersvermogen 2,605.5742,492.942,562.032,320.5081,827.3421,881.4241,662.0421,900.8982,379.442,602.2982,289.931,759.131,684.251,602.181,817.562,024.5773,637.3224,540.5485,480.0354,719.9553,156.2672,332.3711,678.1281,064.258873.541712.9589.1637.1614.1645.4612.9465399.5437.9451.3431.6318.1278.2236.9