Insteel Industries, Inc.

NYSE:IIIN

32.79 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 125.6748.31689.88468.68838.18143.94132.10558.87333.2583.0515.440.010.0145.93535.10226.4938.70310.6891.3722.3180.310.314.1833.230.8270.4221.0791.4230.2631.29.30.43.8010.210.11.70
Kortetermijnbeleggingen 000000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 125.6748.31689.88468.68838.18143.94132.10558.87333.2583.0515.440.010.0145.93535.10226.4938.70310.6891.3722.3180.310.314.1833.230.8270.4221.0791.4230.2631.29.30.43.8010.210.11.70
Nettovorderingen 63.42481.64667.91753.81744.18251.48440.28447.38946.78251.21141.1142.13841.97124.9721.28349.58134.51837.51942.82244.48730.90929.89843.91242.61431.05428.68731.04933.87231.51633.429.529.128.432.62627.925.722.312.5
Voorraad 103.306197.65479.04968.96370.85194.15781.85371.18666.00981.89958.79365.77476.37443.91938.54271.2247.40146.79733.1640.40430.25932.65334.57648.47536.3630.56644.46331.84540.56628.823.726.521.728.717.119.216.915.18.5
Overige vlottende activa 2.417.71610.0565.577.375.8955.9493.0395.3096.4335.8637.1464.0933.93116.7243.1224.640.4113.6633.7728.3095.88.77.179321.8691.6931.5091.11.81.21.71.20.90.82.120.8
Totaal vlottende activa 298.853335.332246.906197.038160.584195.477160.191180.487151.358142.593121.206115.068122.448118.755111.651150.41695.26298.09181.01790.98169.78768.69287.316101.49871.25361.69880.16268.83373.85464.564.357.255.662.554.248.944.841.121.8
Niet-vlottende activa:
Materiële vaste activa, netto 121.953108.156105.624101.392104.96106.14898.6788.19384.17890.38683.05387.71689.48458.65364.20469.10567.14755.21749.93448.60250.81655.44574.234110.19185.52980.3586.40171.07265.166.563.250.547.148.827.926.53028.119.2
Goodwill 9.7459.7459.7459.7458.2938.2936.9656.9656.9656.96500000000000014.40000000000000000
Immateriële activa 6.096.8477.6688.5678.619.7037.9139.06310.229.8161.7240000000000000000000000000000
Goodwill en immateriële activa 15.83516.59217.41318.31216.90317.99614.87816.02817.18516.7811.7240000000000014.40-10.800000000000000
Langetermijnbeleggingen 0.1750.0410.1060.170.2370.040.1050.170.2270.0690.171000000000003.403.100000000000000
Belastingvorderingen 6.9456.686-0.106-0.17-0.237-0.04-0.105-0.17-0.227-16.85-1.895000001.4800000-17.807.75.70000000000000
Overige niet-vlottende activa 3.7524.93820.76721.1610.5629.9139.3348.1847.51823.8168.395.7684.5985.0976.2628.6999.6413.2887.32511.36112.32712.25137.29633.75911.114-0.6174.9135.7587.1817.95.55.16.27.47.83.32.82.91.7
Totaal niet-vlottende activa 148.66136.413143.804140.864132.425134.057122.882112.405108.881114.20291.44393.48494.08263.7570.46677.80478.26768.50557.25959.96363.14367.696111.53143.9596.64385.43391.31476.8372.28174.468.755.653.356.235.729.832.83120.9
Totaal activa 447.513471.745390.71337.902293.009329.534283.073292.892260.239256.795212.649208.552216.53182.505182.117228.22173.529166.596138.276150.944132.93136.388198.846245.448167.896147.131171.476145.663146.135138.9133112.8108.9118.789.978.777.672.142.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 34.34646.79649.44338.96121.59560.05933.65142.75932.18252.81130.56130.12638.60720.68923.96523.58116.70530.69117.40315.04119.40123.85532.29343.46625.03528.75831.63923.84127.47125.225.422.219.6015.60000
Kortlopende schulden 0.9990.9971.031.2300003.6941.242000.675000002.3763.962.6633.622.9210.120.620.622.623.18813.4567.32.52.32.39.10.50.546.51.5
Belastingschulden 2.3672.3776.3493.4711.822.0541.3841.3283.6941.2421.1551.2331.23400000000000000000000000000
Uitgestelde opbrengsten -0.99900000000.1050.525000.38700000000-3.604-3.8080-0.635-0.5870000000000000
Overige kortlopende verplichtingen 11.80914.80318.37613.4876.81811.9298.66711.0249.8458.6086.8545.8776.996.1395.43429.2697.8610.4629.57610.9146.36912.413.59.57610.66.69.2168.1566.8976.865.55.226.52.817.720.817.211.8
Totaal kortlopende verplichtingen 46.15562.59668.84953.67828.41371.98842.31853.78345.82663.18637.41536.00346.65926.82829.39952.8524.56541.15329.35529.91528.43336.27144.90563.16235.6235.39143.47535.18547.82439.333.93027.135.618.918.224.823.713.3
Langlopende verplichtingen:
Langetermijnschulden 0.9360.5720.6951.300-9.276000011.47513.481000009.48448.96867.6370.0297.78594.8846.19735.74349.67329.65522.08926.829.230.432.133.727.323.22424.29.4
Uitgestelde opbrengsten niet-vlottend -8.4790-6.991-7.868009.2760000-4.087-1.71100000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 7.5437.0866.2966.5686.95.348.1035.4726.0576.5727.2814.0871.71100000000008.9347.7345.7265.9896.415.016.377.488.24.74.64.64.23.3
Overige niet-vlottende verplichtingen 19.85311.74719.82319.42111.67910.5419.2769.0718.1418.1546.89711.5747.9167.8015.6485.5235.1143.0052.4011.3845.5956.7736.0921.0331.0161.0111.0170.73600000000000
Totaal niet-vlottende verplichtingen 19.85319.40519.82319.42118.57915.88117.37914.54314.19814.72614.17823.04921.3977.8015.6485.5235.1143.00511.88550.35273.22576.793103.877104.84754.94742.4856.67936.80127.09933.136.237.840.141.93227.828.628.412.7
Totaal passiva 66.00882.00188.67273.09946.99287.86959.69768.32660.02477.91251.59359.05268.05634.62935.04758.37329.67944.15841.2480.267101.658113.064148.782168.00990.56777.871100.15471.98674.92372.470.167.967.177.65146.153.452.125.9
Eigen vermogen:
Preferente aandelen 0000000000000000000000000.01400000000000000
Gewone aandelen 19.45419.47819.40819.30419.26119.22319.04118.97618.46618.37718.18517.71717.60917.57917.52517.50718.30318.21318.86118.24416.9216.9216.9216.9216.91416.88516.87316.87116.7870000000000
Ingehouden winsten 278.502289.246206.384171.068154.372151.084135.851139.314122.928103.42988.98183.84584.15786.65688.291112.47979.85957.88234.77216.154-20.562-27.284-1.56222.19222.10114.14316.24918.61416.39212.1913.115.318.720.617.71312.510.8
Overige gereserveerde algehele resultaten -0.283-0.977-2.442-1.956-2.248-1.494-1.333-1.541-2.146-1.79-1.562-2.441-2.015-2.309-2.52-3.341-3.251-0.662-1.6-1.637-3.413-4.639-3.6210-64.4-58000-38-32.3-28.2-23.5-18.6-13.7-10.8-13.6-10.2-8.3
Overige totale aandeelhoudersvermogen 83.83281.99778.68876.38774.63272.85269.81767.81760.96758.86755.45250.37948.72345.9543.77443.20248.93947.00545.00337.91638.32738.32738.32738.327102.796.23238.238.19238.03392.486.26049.94131.525.724.817.714.3
Totaal eigen vermogen van aandeelhouders 381.505389.744302.038264.803246.017241.665223.376224.566200.215178.883161.056149.5148.474147.876147.07169.847143.85122.43897.03670.67731.27223.32450.06477.43977.32969.2671.32273.67771.21266.562.944.941.741.138.432.624.22016.8
Totaal eigen vermogen 381.505389.744302.038264.803246.017241.665223.376224.566200.215178.883161.056149.5148.474147.876147.07169.847143.85122.43897.03670.67731.27223.32450.06477.43977.32969.2671.32273.67771.21266.562.944.941.841.138.932.624.22016.8
Totaal passiva en aandeelhoudersvermogen 447.513471.745390.71337.902293.009329.534283.073292.892260.239256.795212.649208.552216.53182.505182.117228.22173.529166.596138.276150.944132.93136.388198.846245.448167.896147.131171.476145.663146.135138.9133112.8108.9118.789.978.777.672.142.7