Haverty Furniture Companies, Inc.

NYSE:HVT

21.9 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 127.777123.126166.146200.05875.73971.53779.49163.48170.65965.48183.18553.5549.58558.04544.4663.6970.16712.13911.12110.12231.5913.7640.7273.2561.81.90.40.42.11.90.61.21.71.52.94.12.11.24.1
Kortetermijnbeleggingen 0006.713000012.7257.2500000000050000000000000000000
Liquide middelen en kortetermijnbeleggingen 127.777123.126166.146200.05875.73971.53779.49163.48183.38472.73183.18553.5549.58558.04544.4663.6970.16712.13911.12115.12231.5913.7640.7273.2561.81.90.40.42.11.90.61.21.71.52.94.12.11.24.1
Nettovorderingen 016.51119.13416.2931.5271.8332.4084.2445.9487.1468.1729.7111.45113.77815.29924.30158.74863.99680.71681.13297.654126.074185.785175.716179.1186.2202.8200.9172.9160.4137.6109.392.994.878.778.374.168.864.3
Voorraad 94.58118.333112.03189.908104.817105.84103.437102.02108.896107.13991.48396.90293.71391.93893.301103.743102.452124.764107.631110.812106.264113.328103.662109.06884.482.180.777.473.664.654.750.649.550.444.640.239.734.530.6
Overige vlottende activa 28.17218.28311.7469.9858.1256.2625.9227.56.3418.014.3493.1874.9185.48915.2356.4368.8379.68221.70314.45317.78317.58315.5817.9526.485.74.48.86.12.34.54.24.21.20.91.10.90.8
Totaal vlottende activa 250.529276.253309.057316.244204.523201.85210.687194.115218.711209.461200.699179.894177.675176.935168.301149.746178.936219.309221.171230.422256.485263.825305.755295.992271.7278.2289.6283.1257.4233195.2165.6148.3150.9127.4123.5117105.499.8
Niet-vlottende activa:
Materiële vaste activa, netto 373.894344.865348.455337.115332.008216.852229.215233.667229.283225.162189.242193.085179.333175.511176.363197.423209.912221.245217.391205.037171.546134.203146.399144.525127111.3114.6114.4112.480.267.461.357.955.561.160.358.850.536
Goodwill 000000000000000000000000000000000000000
Immateriële activa 000000000000000000000000000000000000006.6
Goodwill en immateriële activa 0000-0.195-0.226-0.254-0.462-0.655-2.7500000000000000000000000000006.6
Langetermijnbeleggingen 00000.1950.2260.2540.4620.6552.7500000000000000000000000000000
Belastingvorderingen 76.84915.50216.37515.81413.19812.54412.37518.37617.24517.6113.25324.36622.68111.5249.1147.81302.0351.8242.24901.65400000000000000000
Overige niet-vlottende activa 14.06912.42912.40311.19910.3438.9339.0528.3476.0128.75414.6614.7515.4116.2697.1558.41133.08927.16522.66619.8575.1715.1578.7517.6465.93.42.32.421.91.82.32.52.52.63.12.42.71.8
Totaal niet-vlottende activa 464.812372.796377.233364.128355.549238.329250.642260.39252.54251.526217.156222.202207.425193.304192.632213.647243.001250.445241.881227.143176.717141.014155.15152.171132.9114.7116.9116.8114.482.169.263.660.45863.763.461.253.244.4
Totaal activa 715.341649.049686.29680.372560.072440.179461.329454.505471.251460.987417.855402.096385.1370.239360.933363.393421.937469.754463.052457.565433.202404.839460.905448.163404.6392.9406.5399.9371.8315.1264.4229.2208.7208.9191.1186.9178.2158.6144.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 18.78123.34531.23531.42927.8319.8420.50125.66227.81524.15221.8128.17818.23318.08819.12822.69629.39640.851113.36331.20290.66888.84387.53380.79176.252.541.335.43632.827.125.32319.218.90000
Kortlopende schulden 37.35734.44233.58133.46629.4114.0183.7883.4613.0512.3870.9590.8810.7620.52514.3590.3118.35322.93417.43920.2713.52812.67736.3714.72920.916.191.488.461.457.220.435.124.321.72.72.65.954.2
Belastingschulden 11.2938.8627.3198.3868.4838.78.67710.8567.9689.3228.23108.828.4488.4397.688.9769.186000000000000000000000
Uitgestelde opbrengsten 35.83747.96998.89786.18330.12124.46527.81324.92321.03623.68719.00820.96314.57213.58514.00212.77917.18319.67427.51724.040000000000000000000
Overige kortlopende verplichtingen 46.28948.67646.66452.96339.65439.90337.58241.90442.0645.64936.33839.86738.80638.40923.95635.88437.94841.16-27.51750.58400001.31.90.21.60.13.3-0.11.81.92.44.526.13129.527.8
Totaal kortlopende verplichtingen 138.264154.432210.377204.041127.01688.22689.68495.9593.96295.87578.11589.88972.37370.60771.44571.6792.88124.619130.802126.096104.196101.52123.90395.5298.470.5132.9125.497.593.347.462.249.243.326.128.736.934.532
Langlopende verplichtingen:
Langetermijnschulden 180.397186.845196.771200.2149.59446.78550.80352.01350.07446.67816.19618.47312.2848.5746.8267.18320.33127.51531.02244.22865.40269.821131.599170.369134.7161.8111.5120.4129.287.294.279.674.480.183.481.170.658.552.5
Uitgestelde opbrengsten niet-vlottend 00-62.799-63.621-52.555-8.199-7.573-11.42-10.183-5.6890-6.595-6.635-7.052-7.754.8500000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 61.208062.79963.62152.5558.1997.57311.4210.1835.68906.5956.6357.0527.756.89100000000000.20.81.81.301.41.82.32.72.82.31.91.2
Overige niet-vlottende verplichtingen 27.10618.37323.17223.16422.95930.53926.724.67125.47626.35125.2834.30637.77437.87638.10527.83129.88125.69721.95813.28510.8688.6174.0052.8992.72.52.32.42.32.12.42.42.52.21.91.81.51.20.9
Totaal niet-vlottende verplichtingen 268.711205.218219.943223.364172.55377.32477.50376.68475.5573.02941.47652.77950.05846.4544.93146.75550.21253.21252.9857.51376.2778.438135.604173.268137.4164.3114123.6133.390.696.683.478.784.68885.774.461.654.6
Totaal passiva 406.975359.65430.32427.405299.569165.55167.187172.634169.512168.904119.591142.668122.431117.057116.376118.425143.092177.831183.782183.609180.466179.958259.507268.788235.8234.8246.9249230.8183.9144145.6127.9127.9114.1114.4111.396.186.6
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 32.02431.81231.71631.59631.48531.35931.2431.13331.0430.9330.76830.50930.2230.12629.71929.62929.53329.44129.21529.13328.87428.28122.50927.23426.900000000000000
Ingehouden winsten 419.472398.393342.983304.626295.999282.366287.39277.707279.76260.031281.222254.31264.083251.229244.953249.605265.952269.873259.887252.209235.005214.75195.119176.774156.4133.2120.1110.4101.792.983.476.55.673.969.663.858.151.449
Overige gereserveerde algehele resultaten -0.983-0.756-2.293-2.56-2.087-1.465-2.144-1.83-1.938-2.168-15.412-23.378-24.996-19.428-16.685-19.345-1.989-2.4273.35-4.266-1.881-2.3890-105.343-96-85.5-72.5-64.4-55.7-49.2-44.9-41-37.7-33.2-29.9-25.7-22.1-19.2-12.5
Overige totale aandeelhoudersvermogen -142.147-140.05-116.436-80.695-64.894-37.631-22.344-25.139-7.1233.291.686-2.013-6.638-8.745-13.43-14.921-14.651-4.964-13.182-3.12-9.262-15.761-16.2380.7181.5110.4112104.99587.581.948.1112.940.337.334.430.930.321.1
Totaal eigen vermogen van aandeelhouders 308.366289.399255.97252.967260.503274.629294.142281.871301.739292.083298.264259.428262.669253.182244.557244.968278.845291.923279.27273.956252.736224.881201.398179.375168.8158.1159.6150.9141131.2120.483.680.8817772.566.962.557.6
Totaal eigen vermogen 308.366289.399255.97252.967260.503274.629294.142281.871301.739292.083298.264259.428262.669253.182244.557244.968278.845291.923279.27273.956252.736224.881201.398179.375168.8158.1159.6150.9141131.2120.483.680.8817772.566.962.557.6
Totaal passiva en aandeelhoudersvermogen 715.341649.049686.29680.372560.072440.179461.329454.505471.251460.987417.855402.096385.1370.239360.933363.393421.937469.754463.052457.565433.202404.839460.905448.163404.6392.9406.5399.9371.8315.1264.4229.2208.7208.9191.1186.9178.2158.6144.2