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NYSE:KBH

78.41 (USD) • At close November 13, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 590.177816.666564.746296.243268.775170.365180.595105.61584.643918.34939.963-58.953-178.768-69.368-101.784-976.131-929.414482.351842.421480.902370.764314.35214.217209.96147.595.358.2-61.229.146.639.928.226.539.981.4
Afschrijvingen & Amortisatie 36.41332.31928.6428.39627.1582.532.7913.6373.4112.421.8571.6222.0313.2895.2359.31719.75224.16723.44723.86323.27819.32845.14242.3139.818.114.212.385.712.318.616.616.18.9
Uitgestelde Inkomstenbelasting 41.39316.5153.76750.30473.303191.817105.34843.21143.036-825.23216.9111.152000221.306208.348-170.857-3.196-51.72212.126-59.438-44.74225.677-25.90.5-5-41.2-6.94.5-42.111.80.616.86.3
Aandelen Gebaseerde Vergoedingen 34.61229.46428.90421.53118.31215.86114.63316.8517.1439.0995.6996.7138.0548.0743.97709.3545.80900000000000000000
Verandering in Werkkapitaal 357.112-745.866-728.56-118.984-160.792-193.967176.145-46.46118.268-780.819-513.26340.737-270.387-118.89224.418235.111385.248-112.441-1,047.831-616.621-2.10470.134-192.754-202.487-83.7-132.4-96.8247.8-87.1-172.430.2-87.8112.4-146.8-150.2
Vorderingen -12.919-19.885-32.01459.25744.428-49.778-12.50818.965-20.463-31.283-11.15324.994-2.22211.31835.667-60.565-71.40677.6777.67-1.332000000000000000
Voorraden 426.812-785.557-897.75-183.233-165.347-270.126126.085-98.32134.852-780.131-563.18930.347-12.345-129.334433.075545.85779.875-481.98-1,660.229-952.346-464.494-186.588-137.103-96.078-38.8-125.75.2232.9-80.3-137.6-44.2-41.2107.7-91.1-204.4
Crediteuren -62.253.097181.6254.091-40.583126.7166.59432.7231.99135.50459.763-2.143-253.547-199.205-252.62-282.781-340.63618.178560.232316.61000000000000000
Overig Werkkapitaal 5.4196.47919.5790.9010.71-0.773-4.0260.1721.888-4.9091.316-12.461-2.275-1.6698.29632.60717.409-326.309-25.50420.447462.39256.722-55.651-106.409-44.9-6.7-10214.9-6.8-34.874.4-46.64.7-55.754.2
Overige Niet-Contante Posten 22.99234.32515.20733.18824.28634.90633.70765.80314.68445.4925.34743.34691.52542.931218.066694.3261,501.006486.703132.24451.44933.66212.61624.057-10.916-0.1-0.1-0.1173.1-0.1-0.10.10.124.50.14.3
Kasstroom uit Operationele Activiteiten 1,082.699183.418-37.296310.678251.042221.512513.219188.655181.185-630.691-443.48634.617-347.545-133.964349.912341.3221,194.294715.732-52.915-112.129462.158356.9945.9264.544106.8-12.8-29330.8-52.9-111.156.9-24.3180.6-43.3-49.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -35.468-45.234-39.399-28.841-40.459-7.37-8.085-4.784-4.677-5.795-2.391-1.749-0.242-0.42-1.3757.0730.685-22.115-23.997-23.17-13.052-31.145-12.189-18.5-11.6-178.7000000000
Netto Overnames -22.594-26.5391.3152.278-6.289-12.737-7.659-1.295-6.626-38.987-14.35900000000-121.5460-27.548-53.724-24.29200000000000
Aankoop van Beleggingen -27.694-28.439-11.523-10.373-11.29-22.671-18.694-5.6020-49.097-14.3590.989-67.26-15.669-19.922-59.625-241.551-237.7860-0.2370000-19.20000000000
Verkoop/verval van Beleggingen 50.28854.97810.2088.09511.29004.307010.1116.7500000057.9710.4545.91113.3139.8924.270012.91018.113.849.78486.75353.456.6
Overige Investeringsactiviteiten -22.594-26.5391.3152.2785.804-12.737-7.659-1.295-6.62638.98714.3590.98980.6-15.669-19.922-115.404727.6520.568-74.431-117.629-114.939-4.0113.39317.855-3.24-3.8-92-3.8-12.2-5.3-3.31.2-30.8-6.2
Kasstroom uit Investeringsactiviteiten -58.062-71.773-38.084-26.563-40.944-20.107-15.744-6.079-11.303-44.782-16.75-0.7613.098-16.089-21.297-167.956486.786-201.362-97.974-256.671-114.678-52.811-48.25-24.937-34-161.86.2-73.91037.578.783.454.222.650.4
Financieringsactiviteiten:
Schuldaflossingen -153.843155.835-67.325-24.934-322.097-314.751-376.708-67.84527.217363.082388.3175.888-189.461-101.154-276.645-318.614-764.119577.763233.376538.284-444.04-103.21244.9952.815325.792.5-272.151146.5-220.4-69.8-203-60125.4
Uitgifte van Gewone Aandelen 8.8570016.05830.52420.01123.1625.3430.74137.045109.5030.5931.7961.8513.0746.95812.3165.052101.74942.16836.81857.2337.909113.118000000109.235.70081.8
Terugkoop van Gewone Aandelen -411.438-150-188.175-16.0580-35.039-6.673-88.359-0.567-0.546-8.488-1.7990-0.35-0.616-0.967-6.896-394.08-134.713-66.125-108.332-190.7840-169.228-81.90000-73.700000
Uitgekeerde Dividenden -56.831-52.452-54.052-38.065-20.37-8.892-8.642-8.586-9.186-8.982-8.366-10.599-19.24-19.223-19.097-62.967-77.17-78.258-129.729-39.163-11.809-12.371-11.183-11.465-14.2-11.9-11.7-16.1-19.6-19.6-15.3-10-8.5-8.3-132.6
Overige Financieringsactiviteiten -5.381-26.966-5.4616.555-18.41611.535-0.75312.45214.22711.119-13.88810.26750.996-0.6021.1120-305.645-184.209-68.152-10.287-11.983-6.392-21.134-20.133-43.71760.5-2.30.10.100000
Kasstroom uit Financieringsactiviteiten -627.493-73.583-315.013-56.444-330.359-347.147-369.614-149.91731.691501.718467.07173.757-155.909-119.478-292.172-375.59-1,141.52-13.73270.683464.877-539.346-255.527250.582-34.893-107.8169.881.3-290.531.553.3-126.5-44.1-211.5-68.374.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -278.9390000000000000000000000000000000000
Netto Kasstroomverandering 397.14438.062-390.393227.671-120.261-145.742127.86132.659201.573-173.7556.835107.614-490.356-269.53136.443-202.224539.56500.638-80.20696.077-191.86648.652248.2524.714-35-4.858.5-33.6-11.4-20.39.11523.3-8975.7
Kaspositie aan het Einde van de Periode 727.342330.198292.136682.529454.858575.119720.861593560.341358.768532.523525.688418.074908.431,177.9611,141.5181,343.742654.628153.99234.196138.119329.985281.33333.08128.463.468.39.843.454.87565.950.827.6116.5