Kennametal Inc.

NYSE:KMT

29.48 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 109.323123.366150.20158.417-5.047247.876205.0651.98-223.884-370.961162.198206.916310.833232.27748.202-119.742167.775174.243256.283119.29173.57818.13-211.90853.28851.97739.171.27269.768.310.920.112.921.132.130
Afschrijvingen & Amortisatie 134.687134.025131.678126.488119.86112.052108.68107.656117.466131.664130.222113.104104.07393.47196.42996.38194.73378.66371.14466.88465.98984.04373.62997.297101.6469667.441.440.239.343.230.931.332.729.926.4
Uitgestelde Inkomstenbelasting -8.017-9.21911.292-21.189-23.8992.80622.9156.2678.328-48.57523.1190.23228.602-7.8810.23-10.89831.967-8.9388.83913.60000000000000000
Aandelen Gebaseerde Vergoedingen 24.3424.65720.98524.79916.04822.84520.8321.06518.12916.82717.64121.87421.518.85216.649.41200000000000000000000
Verandering in Werkkapitaal -1.1-26.069-128.71525.67873.471-87.511-84.5843.33855.49372.356-66.821-60.553-162.726-98.9646.45179.171-66.619-71.141-154.682-22.89631.52543.91524.31413.90448.54267.7-66.7-18.9-33.5-62.9-24-4.54.2-6.45.36.7
Vorderingen -2.624-11.543-14.432-53.324128.71517.323-22.201-7.60632.66146.552-45.04133.801-10.891-89.153-58.245200.15900-157.13100000000000000000
Voorraden 36.83517.582-127.40961.2728.185-53.387-37.23-24.369.55270.874-5.315.879-63.833-124.082-2.57636.048-34.034-26.117-7.711-8.44610.25538.17140.25119.89414.331-3.9-37.21.4-9.8-34.49.6-1.55.5-6.34.53.1
Crediteuren -6.086-32.51431.99746.775-46.315-49.378-5.04651.418-2.18-8.21813.748-90.449-71.16122.48360.212-130.102008.100000000000000000
Overig Werkkapitaal -29.2250.406-18.871-29.043-37.114-2.069-20.107-16.174-44.54-36.852-30.218-9.784-16.842-8.2127.06-26.934-32.585-45.0242.06-14.4521.275.744-15.937-5.9934.21171.6-29.5-20.3-23.7-28.5-33.6-3-1.3-0.10.83.6
Overige Niet-Contante Posten 283.46411.185-3.99721.48943.3052.4514.4031.896243.79550.1265.5142.577-12.702-6.958-3.124137.93910.09425.24639.21825.4486.76635.456269.12523.06719.04223.829.65.49.111.90.1-4.5-1.1-40.70.5
Kasstroom uit Operationele Activiteiten 277.108257.945181.444235.682223.738300.519277.304192.202219.322351.437271.873284.15289.58230.797164.828192.263279.786199.00619.053202.327177.858181.544155.16187.556221.207226.6101.599.985.556.630.24247.343.46863.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -107.561-94.385-96.924-127.302-244.151-212.343-171.004-118.018-110.697-100.939-117.376-82.835-113.036-83.442-56.679-104.842-163.489-92.001-79.593-88.552-56.962-49.413-44.04-59.929-50.663-100.2-860.1-73.8-57.6-43.4-46.9-23.1-36.6-55.3-70.7-57.7
Netto Overnames 1.4155.0291.0014.37323.9511.24314.3585.02356.1270-624.39-0.5-382.5621.723-16.969-69.48520.261-210.324352.364-136.604-65.846-166.077-5.3850011.20000000000
Aankoop van Beleggingen 000000000000005.1412.9142.83900000000-0.3-14.2000000000
Verkoop/verval van Beleggingen 0000000000000027.8111.6525.91502.961000000-12.20000000000
Overige Investeringsactiviteiten -3.280.1260.984-0.0471.865-0.38114.1335.276.63716.3851.5922.6378.3339.8940.276-0.2953.233-0.213-36.40439.2430.217-3.8896.154-42.5757.578-0.561.2-177.6-1.54.4-0.91.54.76.93.6
Kasstroom uit Investeringsactiviteiten -109.426-89.23-94.939-122.976-218.336-201.481-156.871-112.748-47.933-84.554-740.174-80.698-487.265-71.825-40.42-170.056-131.241-302.538239.328-185.916-92.591-219.379-43.271-102.504-43.085-102-813.1-90.8-50-44.9-42.5-24-35.1-50.6-63.8-54.1
Financieringsactiviteiten:
Schuldaflossingen -0.714-20.27-6.067-300-500.189-400.715-0.19-26.216-94.577-308.736-450.928-736.562-1,324.426-467.74-707.358-860.522-38.062-53.294-16.456000-216.542-76.592000-37.200000000
Uitgifte van Gewone Aandelen 0-6.0420-200.7070-4.918314.33346.75348.30140.109790.72326.6651,575.165450.109120.696988.55914.81150.91475.77437.577277.606143.85322.85403.3261.85.62.74.482.303.74.731.8
Terugkoop van Gewone Aandelen -65.574-49.29-85.542-0.197-0.209-0.214-0.217-0.241-0.295-0.318-14.165-121.408-66.876-57.909-0.306-127.72-65.429-41.401-93.015000-12.417-16.494000-28.700000000
Uitgekeerde Dividenden -63.431-64.524-66.565-66.735-66.303-65.746-65.104-64.128-63.717-56.979-56.436-51.011-43.631-39.801-39.316-30.593-35.994-31.759-29.719-25.434-24.829-24.498-21.426-21.056-20.57-20.3-18.5-17.5-16-15.9-14-12.6-12.4-12.2-12.1-11.6
Overige Financieringsactiviteiten -13.456-2.9827.439-6.606491.9630.161-1.625-6.317-0.181-7.0391.214934.463-8.93319.316568.11714.75-1.031-7.181-2.614-12.622-80.16254.348-11.716-0.949-152.765-107.4466.874.5-15.5-7.2-44.5-10.1-5.815.811.2-4.7
Kasstroom uit Financieringsactiviteiten -141.747-143.108-150.735-574.245425.451-471.432247.197-50.149-110.469-332.963270.40852.147131.299-96.025-58.167-15.526-125.705-82.721-66.03-0.479-77.99137.456-118.248-92.237-173.335-124.4710.1-3.3-28.8-18.723.8-22.7-14.58.32.1-14.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -3.985-5.172-4.2318.902-6.184-1.744-2.106-0.255-4.835-6.355-1.4945.251-21.71323.489-17.935-23.33613.2052.71-1.5951.3483.5715.0873.804-2.1980.128-1.2-2-1-0.40.61.5-0.20-0.20.3-0.1
Netto Kasstroomverandering 21.9520.435-68.461-452.637424.669-374.138365.52429.0556.085-72.435-199.387260.85-88.09986.43648.306-16.65536.045-183.543190.75617.2810.8474.708-2.555-9.3834.915-1-3.54.86.3-6.413-4.9-2.30.96.6-5.1
Kaspositie aan het Einde van de Periode 127.971106.02185.586154.047606.684182.015556.153190.629161.579105.494177.929377.316116.466204.565118.12969.82386.47850.433233.97643.2225.9415.09310.38512.9422.32317.418.421.917.110.817.14.1911.210.43.8