Heartland Express, Inc.

NASDAQ:HTLD

10.9 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 14.775133.58479.27770.80672.96772.67775.17356.38673.05684.83470.58261.54169.93262.21656.94969.96876.1787.17171.90662.44757.22142.80837.65634.30433.12333.10930.07325.0320.58510.11411.697.35.7
Afschrijvingen & Amortisatie 199.039133.047104.232110.381100.932101.329103.905105.58111.848109.62969.64957.82157.87661.94958.7346.10948.48647.37138.24830.02926.91920.3917.77917.21817.31219.22717.48913.95615.902-20.1-8.7-7.1-5.2-4.2-2.7
Uitgestelde Inkomstenbelasting -18.0812.412-5.8698.1484.6992.755-27.121-4.5848.61839.06710.262-5.75114.743-8.4414.6372.1920.4945.101-2.633.4699.4975.3172.9931.478-0.467-0.426-3.149-2.8070.905-0.20.2-10.41.40.1
Aandelen Gebaseerde Vergoedingen 1.621.3991.152.0922.0650.5390.5110.8561.2511.1341.1842.3790.150000000000000000000000
Verandering in Werkkapitaal 7.93220.817-17.9342.253-2.95-5.794-16.2566.74830.739-28.667-7.3721.292-11.488-3.801-9.50513.1014.5436.1995.0857.7493.493-0.692.81-1.576-3.4481.0982.40712.324-1.59812.81.92.13.4-0.5-0.3
Vorderingen 37.07920.0332.7651.1766.67615.33815.23914.16516.0257.3667.834-2.357-2.579-4.258-0.5587.556-0.86-0.639-5.758-0.266-3.824-7.312-0.746-1.476-2.0882.856-4.6232.338-0.5922.2-1.4-2.7-0.4-0.8-1.6
Voorraden 00000-90.634-141.179-66.63-67.432-72.748-151.554-165.076-152.8430002.838-3.095-1.076-186.264-142.47-149.68-116.545-114.125-127.499-83.083-68.229-35.954-3.671-21.5-160-4.4-7.7-8.2
Crediteuren -30.998-1.227-18.4763.062-10.758-26.012-26.893-11.0630.202-19.017-9.7220.953-0.9520002.7317.60911.3087.6313.4918.3991.5952.35-1.851-0.8455.4145.159-0.1366.53.502.91.21.7
Overig Werkkapitaal 1.8512.011-2.223-1.9851.13295.514136.57770.27681.94455.732146.07167.772144.8860.45705.545-0.1662.3250.611186.648146.297147.904118.506111.675127.98982.1769.84540.782.825.615.84.85.36.87.8
Overige Niet-Contante Posten -40.018-96.546-37.438-14.83-31.341-24.963-26.674-9.205-35.04-33.544-33.07-15.109-32.133-13.3170-9.5580.0630.376-7.668-0.175-00.3330.014-1.512-0.907-0.273-0.059-0.1892.3440.117.514.210.58.55.4
Kasstroom uit Operationele Activiteiten 165.267194.713123.418178.85146.372146.543109.538155.781190.472172.453111.235102.17399.0898.607101.103121.812119.597128.074104.941103.51997.08467.88561.25249.91245.61452.73546.7648.31438.10842.625.419.818.112.59.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -208.596-160.568-132.64-204.337-163.78-169.276-184.114-86.088-217.253-204.973-135.195-66.811-126.257-14.551-79.123-35.949-43.579-76.056-49.155-43.899-47.062-58.47-29.105-36.335-18.614-5.512-22.385-7.492-0.382-3.7-15.9-18.3-7.6-14.9-10.7
Netto Overnames 137.319-675.852130.18493.16-61.927130.752-86.72857.280-3.011-110.90021.6490000000-26.7190000000000000.4
Aankoop van Beleggingen 000000-13.89900092.31300-18000-40.574-25.528-92.915-10.402-4.182-40.2820-0.500-26.942-1.6630-14.1-8.800-7.1
Verkoop/verval van Beleggingen 000000000021.132.3538.12579.22506.704134.186000010.15900.5019.7711.6910015.65.77.31.72.710.6
Overige Investeringsactiviteiten 3.41173.161-0.1910.12992.916131.462138.34346.926150.0492.505-0.82528.4871.2-0.21726.3392.12813.0211.0771.8760.784-0.454-0.0690.9021.751.4080.201-0.8780.2560.5852.40.80.1-10.80.7-0.3
Kasstroom uit Investeringsactiviteiten -67.867-663.259-2.647-111.048-132.791-37.814-132.499-39.162-67.213-115.479-133.507-5.981-16.93268.106-52.773-27.117103.628-115.554-72.806-136.031-57.918-79.282-68.485-34.086-17.70614.459-11.571-34.177-1.4614.3-23.5-19.7-16.7-11.5-7.1
Financieringsactiviteiten:
Schuldaflossingen -114.078-81.47800-93.3480-23.3030-24.6-69.5-147.942000000000000000-18.542-0.705-0.451-66.500000
Uitgifte van Gewone Aandelen 00.29000.5320000041.1000000000000000000000000
Terugkoop van Gewone Aandelen -0.29-0.29-32.025-25.654-0.532-25.087-0.198-14.678-74.0240-41.1-24.19-56.350-45.36-36.403-19.388-2.545-22.4190000-14.01-45.1320000000000
Uitgekeerde Dividenden -6.322-6.318-45.872-6.502-6.563-6.589-6.667-6.666-6.942-7.034-6.861-91.934-7.148-97.944-7.27-9.601-204.336-6.884-5.959-4.496-0.99800000000000000
Overige Financieringsactiviteiten -0.29447.053-0.247-0.582-0.532-0.213-0.1980-1.76419.175-109.190000000000000000010.40000.30
Kasstroom uit Financieringsactiviteiten -120.69359.257-78.144-32.738-100.443-31.889-30.168-21.344-107.33-57.434-79.803-116.124-63.498-97.944-52.63-46.004-223.724-9.429-28.379-4.496-0.99800-14.01-45.1320-18.542-0.705-0.451-56.10000.30
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -32.5730000000000000000000000000000-56.9000-10
Netto Kasstroomverandering -21.759-109.28942.62735.064-86.86276.84-53.12995.27515.929-0.46-102.075-19.93218.6568.769-4.348.691-0.4993.0923.756-37.00838.168-11.397-7.2331.816-17.22467.19416.64713.43136.197-56.11.90.11.40.32.1
Kaspositie aan het Einde van de Periode 28.45564.478173.767131.1496.076182.93875.378128.50733.23217.30317.763119.838139.77121.1252.35156.6517.968.4595.3671.611127.885109.397120.794128.027126.211143.43576.2459.59346.162-46.78663.63.3