Jack Henry & Associates, Inc.

NASDAQ:JKHY

174.21 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 381.816366.646362.916311.469296.668271.885376.66245.793248.867211.221201.136176.645154.984137.471117.87103.102104.222104.68189.92475.50162.31549.39757.06555.63134.01831.721.515.39.786.35.442.2-0.6
Afschrijvingen & Amortisatie 199.904190.726177.624175.748171.805160.633151.986139.786129.648118.996107.771100.34194.61990.51471.50864.14762.00650.95443.77438.91133.5430.19427.4721.88815.4737.95.14.13.62.100001.2
Uitgestelde Inkomstenbelasting -0.909-48.19931.87216.7624.5817.604-51.64430.9437.52429.44322.03224.09122.6120.52616.6947.0475.324.2398.2915.2755.5887.947.7932.82.40.20.50.30.40.400000.3
Aandelen Gebaseerde Vergoedingen 28.87328.61124.7820.74616.88312.58911.75811.12910.7210.11210.0918.6156.954.7233.2512.2721.4441.00300000000000000000
Verandering in Werkkapitaal -45.484-151.708-92.961-60.606-4.14-21.744-75.664-75.097-43.44913.4074.819-4.426-15.811-14.1278.51129.0896.35913.21826.726-12.479.14210.688-2.329-7.494-2.433-3-2-1-1.6-0.700000.7
Vorderingen 28.219-12.067-41.508-6.11210.54-11.77721.489-22.499-13.735-21.3467.498-12.73900-1.53921.214-2.913-28.85300000000000000000
Voorraden 012.06741.5086.112-10.5411.77700000000-1.355-15.32825.64120.54500000000000000000
Crediteuren 5.435-6.2776.646-0.094-0.047-7.52611.072-7.8124.663-0.583-1.252-4.5823.488-0.6710.631.26-4.951-3.0500000000000000000
Overig Werkkapitaal -79.138-145.431-99.607-60.512-4.093-14.218-86.736-67.285-48.11213.996.0710.156-19.299-13.45610.77521.943-11.41824.57626.726-12.479.14210.688-2.329-7.494-2.433-3-2-1-1.6-0.700000
Overige Niet-Contante Posten 398.868-4.5170.4-1.9884.7350.161-0.9544.771-18.194-9.389-4.193.9081.1981.0250.8640.9311.650.1520.4541.0582.2240.642-0.058-0.0030.26410.70.72.5-0.20.541.52.71.6
Kasstroom uit Operationele Activiteiten 568.041381.559504.631462.129510.532431.128412.142357.322365.116373.79341.659309.174264.55240.132218.698206.588181.001174.247169.438108.275112.80998.86189.94172.82249.82437.224.818.714.79.76.89.45.54.93.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -232.423-206.984-191.389-157.837-177.51-170.781-149.92-148.186-164.562-145.301-111.667-97.774-80.034-59.039-80.095-56.246-54.841-54.945-61.475-58.046-49.141-45.958-49.509-57.781-32.619-38.8-7.8-10.3-5-5.4-2.4000-0.9
Netto Overnames 0.904-229.6280.045-2.3-30.376-19.981-137.2125.63225.7550-27.8940-38.59332.085-426.653-3.027-49.324-39.307-20.7450.17-48.288-6.537-11.1110-93.2800.100000000
Aankoop van Beleggingen -8.646-1-5-13.3-1.150-500000-2-3.999-3.999-2.996-1.975-3.603-4.519-4.976-3.991-3.988-2.987-0.982-0.946-6.7-3.2-5.9-2.1-4.2-8.7000-1
Verkoop/verval van Beleggingen 0-167.805-0.0455177.510149.9200000344324.815.03754.63343110.3073.15.834.59.23.70001
Overige Investeringsactiviteiten 0.904195.7440.0456.187-166.380.127-149.6140.9682.8448.3177.7810.5341.365-32.0851.0320.0421.9920.1344.512-127.21-3.25-5.989-1.621-1.072-0.881-14.1-1.1-0.5-7.2-5.50-4.8-4.3-3.50.1
Kasstroom uit Investeringsactiviteiten -240.165-409.673-196.344-162.25-197.906-190.635-291.826-141.586-135.963-136.984-131.78-97.244-76.262-59.038-505.715-59.227-102.148-92.911-77.19-185.062-100.037-58.472-62.228-58.835-117.419-56.5-6.2-13.7-9.8-5.9-7.4-4.8-4.3-3.5-0.8
Financieringsactiviteiten:
Schuldaflossingen -125-159.94-317.127-100.114-55.033-35-175-30.2-152.5-50.783-47.158-145.18-35.28-229.854-145.487-90.181-0.429-19.388-5.120000000000000000
Uitgifte van Gewone Aandelen 12.47512.3727.6213.2119.8339.2777.5230.7665.7114.8814.2843.73.3222.4571.9534.60920.39429.21220.62215.04522.384.31514.45879.6486.8873.61.57.11.40.20.60000
Terugkoop van Gewone Aandelen -28.055-33.505-193.916-431.529-65.455-68.837-48.986-130.14-175.662-122.691-175.699-58.126-34.37117.245479.851-58.405-100.996-98.413-41.819-9.9520-18.165-31.0540000-5.4-1.600000-0.2
Uitgekeerde Dividenden -155.877-147.237-139.07-133.8-127.421-118.745-105.021-91.707-84.118-76.41-71.251-48.202-38.128-34.391-30.461-26.903-24.683-21.685-18.383-15.456-13.408-12.29-11.626-9.604-7.287-5.7-4.5-3.6-3-2.5-2.10000
Overige Financieringsactiviteiten -5.37812.37233220045.1679.277117.8438099.41386.13322.4176.4710.3571.056-11.57276.2053.80943.41614.9834500-0.315-70.62869.8050-0.2-0.100-0.8-1.3-0.7-1.8-0.8
Kasstroom uit Financieringsactiviteiten -301.835-8.43-310.492-462.232-192.909-178.305-203.641-171.281-307.156-158.87-267.407-241.338-94.1-243.487294.284-94.675-101.905-66.858-29.71734.6378.972-26.14-28.537-0.58469.405-2.1-3.2-2-3.2-2.3-2.3-1.3-0.7-1.8-1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000-0.100000.6-4.6-1.2-1.4-2.4
Netto Kasstroomverandering 26.041-36.544-2.205-162.353119.71762.188-83.32544.455-78.00377.936-57.528-29.40894.188-62.3937.26752.686-23.05214.47862.531-42.1521.74414.249-0.82413.4031.81-21.515.431.71.5-2.3-1.3-0.7-1.8-1
Kaspositie aan het Einde van de Periode 38.28412.24348.78750.992213.34593.62831.44114.76570.31148.31370.377127.905157.31363.125125.518118.25165.56588.61774.13911.60853.75832.01417.76518.5895.1863.223.385.13.42.50.20.4-0.2-0.8