Henry Schein, Inc.

NASDAQ:HSIC

68 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 416566660.526419.423719.138562.126459.293556.395523.427505.436471.462423.388404.656352.131333.157243.143215.173163.759151.326128.183139.522117.98787.37356.74950.316.3-119.3-10.2-10.9
Afschrijvingen & Amortisatie 248212209.528185.538184.942207.56193.072169.78159.127152.238128.035125.322115.896101.21481.49378.12773.93664.9360.34551.32636.84328.27235.64233.76228.32014.47.963.8
Uitgestelde Inkomstenbelasting -20-61-12.932-77.858-2.116-51.863138.167-30.0695.60627.296-11.51410.072-19.319-6.158-26.21416.88-7.4041.2972.79213.2945.5240.2260.292-1.33500.2-3.92.4-1.1-3.6
Aandelen Gebaseerde Vergoedingen 3954788.78844.9236.2442.29458.24644.61445.87635.52737.31342.7335.63131.22525.429019.464000000000000
Verandering in Werkkapitaal -290-281-197.201-3.37245.573-82.696-331.808-154.982-160.635-150.257-10.387-214.037-1.168-97.159-28.2565.602-82.532-45.12224.07-9.735-65.775-19.50449.27650.124-36.8-52.4-65.5-64-26.2-3
Vorderingen -327-74.162-189.349-72.689-147.499-159.876-1.904-120.001-81.441-45.11-73.92536.204-76.12920.445-26.8341.3842.8726.52406.548000000000
Voorraden 231-126-295.131-31.81714.702-84.784-175.059-104.787-194.869-71.899-48.087-193.585-44.155-21.307-19.242-68.36-15.946-41.9586.484-28.614-28.781-23.075-17.854.6312.1-34.5-24.1-23-7.3-5.4
Crediteuren -56-9684.708224.273160.851241.64689.2761.481212.61143.4967.063000-29.834013.572-11.8831.441049.506000000000
Overig Werkkapitaal -138-529.06-6.479-57.291-92.0593.127-48.291-58.376-40.40715.74753.4736.7830.2770.375100.796-81.5425.8479.62118.879-93.0483.57167.12645.494-48.9-17.9-41.4-41-18.92.4
Overige Niet-Contante Posten 107112-28.75666.391-338.3713.33944.49716.09114.70211.91551.05226.04111.833.2155.48515.46848.48530.98926.6087.93112.7297.68818.32813.6946.2-0.1-0.10.120.70.1
Kasstroom uit Operationele Activiteiten 500602709.58598.91654.087684.706545.515615.461586.841592.504664.175408.099554.625388.874396.89384.649270.211235.317265.141190.999128.843134.669190.911152.994482.7-37.2-34.5-10.86.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -187-96-79.015-48.829-76.219-90.637-81.501-70.179-71.684-82.116-60.215-51.237-45.176-39-51.627-50.87-56.821-67-50.829-37.837-38.978-47.543-46.127-29.743-167.1-47.4-49.6-11.2-9.2-5.9
Netto Overnames -974-158-560.801-46.153-348.628-60.57-254.625-228.575-171.861-424.283-195.727-220.238-149.403-399.575-43.932-128.47-190.355-163.353-68.213-149.814-118.18-36.224-8.588-6.838000000
Aankoop van Beleggingen 0-11-7.318-60.173-655.879-61.57-288.673-228.575-171.861-424.283-182.36300-26.9840-35.925-115.066-222.036-111.9450-39.667-55.21100000000
Verkoop/verval van Beleggingen 6117.31814.02307.251134.048228.5750.023.25-0.8299.2252.632.9849.9555.722163.065298.04731.74914.47279.649000000000
Overige Investeringsactiviteiten 1-22-37.40126.116349.10218.823248.475-17.668155.355410.793172.529-7.354-4.094.171-11.84441.666-42.87-26.01936.3720.627-0.946-3.78-0.355-9.6453-1.3-5.5-37.9-20.3-2
Kasstroom uit Investeringsactiviteiten -1,154-276-677.217-115.019-424.373-192.954-342.276-316.422-260.031-516.639-266.605-269.604-196.069-428.404-97.448-167.877-242.047-180.361-162.866-172.552-118.122-142.758-55.07-46.226-164.1-48.7-55.1-49.1-29.5-7.9
Financieringsactiviteiten:
Schuldaflossingen -1,050-59-140.678-611.216-1,188.856-90.265-60.05-15.381-201.203-228.407-729.977-72.907-33.722-266.051-158.81-33.721-1.212-0.18400000000-53.9000
Uitgifte van Gewone Aandelen 1-30-7.471-14.299361.09-14.947-39.566-15.71114.87000000035.45935.62229.521.42522.34834.12214.1556.28312.5114.1124.172.50
Terugkoop van Gewone Aandelen -250-485-401.211-73.789-525-218.023-450-550.024-299.852-299.989-300.251-299.883-200.002-57.7350-82.788-30.689-40.263-52.276-82.213-61.75400000-0.6-0.3-0.80
Uitgekeerde Dividenden 000000000000000000000000-146.9-2-2.400-0.6
Overige Financieringsactiviteiten 4,119289223.874526.4181,284.932-476.018397.499265.176181.684373.749694.254202.189-120.64340.53-38.86528.53910.31816.519-16.0987.158-8.969-15.439-13.784-84.134256.353.4107.1-6.2-28.34.3
Kasstroom uit Financieringsactiviteiten 720-315-332.957-187.185-215.98-603.776-112.551-300.229-319.371-154.647-335.974-170.601-354.367-283.256-197.675-87.97-31.12-21.274-38.86626.37-48.37518.6830.371-77.851121.962.454.3117.643.43.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -12-12-2.62618.38235.47817.57521.589-8.515-24.827-20.364.946.902-7.2531.98-0.183-6.8221.8994.2824.468-15.547-5.646-3.31-1.2073.426-800000
Netto Kasstroomverandering 54-1-303.22315.08849.212-94.449112.277-9.705-17.388-99.14266.536-25.204-3.064-320.806101.584121.98-1.05737.96467.87729.27-43.37.284135.00532.343-2.216.4-38343.12.1
Kaspositie aan het Einde van de Periode 171117117.965421.185106.09780.209174.65862.38172.08689.474188.616122.08147.284150.348471.154369.57247.59248.647254.498186.621157.351200.651193.36758.3622628.27.841.67.64.5