Kadant Inc.

NYSE:KAI

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 106.45379.72594.16166.6468.27346.11776.84673.56966.93645.79350.254.55346.9561.80545.67540.13961.55339.63440.82282.08974.45144.429102.80762.46139.3115.5111.6109.85737.327.644.2
Kortetermijnbeleggingen 212.9060.131000.0110000000000000000016.62586.13746.448.236.300000
Liquide middelen en kortetermijnbeleggingen 106.45379.72594.16166.6468.27346.11776.84673.56966.93645.79350.254.55346.9561.80545.67540.13961.55339.63440.82282.08974.45144.429119.432148.59839.3115.5111.6109.85737.327.644.2
Nettovorderingen 142.295145.195125.83599.116108.902108.36591.99869.03170.90163.94473.9562.15959.49250.77236.43664.14885.89174.0553.42540.2843.26236.8249.30443.86649.350.357.839.34536.93128.9
Voorraad 152.677163.672134.356106.814102.71586.37384.93354.95156.75855.22362.80542.07750.52741.62837.43555.76247.4741.67935.11527.31633.20329.48633.53433.07728.930.63224.527.122.52119.6
Overige vlottende activa 38.75745.0729.5317.2517.68611.90612.2469.79910.52518.71419.33316.29113.3789.40211.72516.95812.33913.03625.99922.3533.1872.9743.19826.237155.759.946.18.813.212.47.78.3
Totaal vlottende activa 440.182388.592354.352272.57279.89240.855266.023207.35205.12183.674206.288175.593174.291163.607131.271177.007207.253168.399155.361178.729161.813120.377212.459251.778273.2256.3247.5182.4142.3109.187.3101
Niet-vlottende activa:
Materiële vaste activa, netto 165.633118.855107.98984.64286.03280.15779.72347.70442.29344.96544.88539.16840.09536.91138.41541.63841.90440.93932.90717.06425.82725.46128.48529.58230.531.728.326.521.221.522.413.7
Goodwill 392.084385.455396.887351.753336.032258.174268.001151.455119.051127.882131.915107.947105.95997.98897.62295.03140.812137.078124.42574.40873.5360116.3119.1121.9126.8128.739.50000
Immateriële activa 159.286175.645199.343160.965173.896113.347133.03652.7338.03246.95447.8526.09529.05326.79328.07130.11532.94434.686160.68774.40878.0472.221116.269119.1121.9126.8128.739.534.930.831.416
Goodwill en immateriële activa 551.37561.1596.23512.718509.928371.521401.037204.185157.083174.836179.765134.042135.012124.781125.693125.145173.756171.764160.68774.40878.0472.221116.269119.1121.9126.8128.739.534.930.831.416
Langetermijnbeleggingen 122.8880-34.944-21.669-19.736-22.962-29.085-14.631-8.992-9.536-17.457-8.793-10.204-10.736-8.24-10.322-8.899-8.7610-6.691-7.710-0.025-0.037-6.4-6.2-4.3-3.20000
Belastingvorderingen 36.39838.74534.94421.66919.73622.96229.08514.6318.9929.53617.4578.79310.20410.7368.2410.3228.8998.76106.6917.710986.46.24.33.20000
Overige niet-vlottende activa -140.80642.58973.64157.64163.53733.21614.31111.45211.00210.27211.2310.145911.47312.27713.12714.15611.9836.85615.0366.03313.4581.4665.7921712.314.48.81.311.50.8
Totaal niet-vlottende activa 735.483761.289777.86655.001659.497484.894495.071263.341210.378230.073235.88183.355184.107173.165176.385179.91229.816224.686200.45106.508109.9111.14155.195162.437169.4170.8171.474.857.453.355.330.5
Totaal activa 1,175.6651,149.8811,132.212927.571939.387725.749761.094470.691415.498413.747442.168358.948358.398336.772307.656356.917437.069393.085355.811285.237271.713231.517367.654414.215442.6427.1418.9257.2199.7162.4142.6131.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 42.10458.0659.2532.26445.85235.7235.46123.92924.41827.23328.38823.12428.62423.75617.61224.21237.13232.93420.22921.32723.89618.09318.66121.9212221.525.816.820.715.914.312.5
Kortlopende schulden 8.5983.8215.3561.4742.8511.6680.6960.6435.250.6110.6250.62512.255.50.53.28910.249.33900.5980.5850.5730.5620.400000.30.60.4
Belastingschulden 0.0510.0540.0440.0070.118002.7395.333000000000001.0400000000000
Uitgestelde opbrengsten 12.19464.36171.15637.94635.29232.52137.41921.16820.12318.45232.57618.72918.62719.26911.9211.74712.9568.68821.61902.40623.29430.772000000000
Overige kortlopende verplichtingen 151.513-68.182-76.512-39.42-38.143-34.189-38.115-21.811-25.373-19.063-33.20132.814-18.62736.076-12.4239.74239.43836.90529.06743.75227.9093.7043.0756.19892.141.344.75050.7383530.9
Totaal kortlopende verplichtingen 214.40958.0659.2532.26445.85235.7235.46123.92924.41827.23328.38875.29240.87484.60117.61278.9999.76687.85779.91565.07954.80945.67653.07678.681114.562.870.566.871.454.249.943.8
Langlopende verplichtingen:
Langetermijnschulden 106.86201.161269.514233.474301.025175.821242.0866.41131.2525.86138.6356.2511.7517.2523.2552.12230.4644.65220.726003.343119.267154.65154.415315301515.415.816.2
Uitgestelde opbrengsten niet-vlottend 20.1560-34.944-21.669-19.736-127.206-29.085-14.631-8.992-18.96-17.457054.9180-8.2400000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 36.39838.74534.94421.66919.73622.96229.08514.6318.99218.9617.4578.79310.20410.7368.2410.3228.8998.76104.371.6170.9411.4578.0426.46.24.33.230.200.2
Overige niet-vlottende verplichtingen 21.602196.344237.832164.928165.431243.881151.04996.07291.88595.194104.72418.64617.02216.88472.76321.0917.73112.83346.53.3273.178000-0.153.952.7560.11.71.41.5
Totaal niet-vlottende verplichtingen 185.016436.25507.346398.402466.456315.458393.129162.483123.135121.055143.35933.68993.89444.8796.01383.53457.0966.24667.2267.6974.7954.283130.724162.692160.7213.121059.218.117.317.217.9
Totaal passiva 399.425494.31566.596430.666512.308351.178428.59186.412147.553148.288171.747108.981134.768129.471113.625162.524156.856154.103147.14172.77659.60449.959183.8241.373275.2275.9280.512689.571.567.161.7
Eigen vermogen:
Preferente aandelen 000001.6031.5131.651.3361.1680.92501.1501.32300000000000000000
Gewone aandelen 0.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1460.1430.140.1270.6370.60.60.60.60000
Ingehouden winsten 763.131660.644551.848479.4435.249393.578342.893321.05297.258270.249248.17230.329198.706165.131146.624152.548175.106153.147136.05129.173128.519116.702143.504133.522118.4100.682.666.246.32615.17.7
Overige gereserveerde algehele resultaten -43.062-54.578-30.35-19.492-37.62-39.376-26.715-49.637-36.972-17.1460.71-3.315-7.955-3.5860.252-6.18815.8986.071-1.6142.85-2.57-13.251-19.958-19.489-11.1-15.4-15-3-28.8-24.4-20.2-19.6
Overige totale aandeelhoudersvermogen 53.48749.35943.97236.85129.30418.6214.66711.076.17711.04220.4721.42331.58344.14945.68646.20987.60178.60173.04380.29285.66677.66659.88455.96356.265.169.967.192.183.175.978.4
Totaal eigen vermogen van aandeelhouders 773.702655.571565.616496.905427.079374.571332.504284.279267.945265.459270.421248.583223.63205.84194.031192.715278.751237.965207.625212.461211.758181.257183.557170.633164.1150.9138.1130.9109.684.770.866.5
Totaal eigen vermogen 776.24657.293567.296498.451428.463376.174334.017285.929269.281266.627271.346249.967224.78207.301195.354194.393280.213238.982208.67212.461212.109181.558183.854172.842167.4151.2138.4131.2110.290.975.569.8
Totaal passiva en aandeelhoudersvermogen 1,175.6651,149.8811,132.212927.571939.387725.749761.094470.691415.498413.747442.168358.948358.398336.772307.656356.917437.069393.085355.811285.237271.713231.517367.654414.215442.6427.1418.9257.2199.7162.4142.6131.5