Kingspan Group plc

ISE:KRX.IR

79.5 (EUR) • At close November 4, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operationele Activiteiten:
Nettowinst 653.9616570.6384.8377.8335.8285.9255.5190.6106.5101.98589.95290.90867.40562.65982.044236.664194.045145.069103.29971.45773.11288.63476.79465.00451.23841.53518.0587.4835.1594.2081.8422.709
Afschrijvingen & Amortisatie 232.6197.5167.9145.5136.498.279.975.869.645.743.87443.28442.65940.23440.48441.84144.47841.95732.51525.03921.88321.55822.54515.95513.73710.3476.8923.9972.0291.2231.5311.4541.041
Uitgestelde Inkomstenbelasting -86.40-41.3-37.7-35-22.6-21.1-76.4-2.2-15.933-29.916000000000000000000000
Aandelen Gebaseerde Vergoedingen 22.718.417.71613.112.310.710.48.17.77.2276.7375.4274.4782.82.3725.653.492000000000000000
Verandering in Werkkapitaal 298.1-128.5-422.4104.97.3-3.5-87.7-39.445-34.2-22.02532.412-12.939-39.476105.16399.55-52.975-38.09-1.987-25.863-17.2167.17235.441-15.159-21.371-17.818-9.672-3.7940.462-1.7911.717-0.541-0.318
Vorderingen 7425.7-298.8-1.857.3-33-47.7-75.7-21.2-26.9-7.237.619000000000000000000000
Voorraden 299.214.6-525.738.25.84.7-64.8-39.957.5-23.5-6.70810.634-13.403-14.07150.723-4.218-21.759-18.4468.032-21.838-4.685-3.18319.125-15.11-3.932-7.406-2.2440.447-1.695-1.7550.9450.5011.086
Crediteuren -74-25.7298.81.8-57.30000000000000000000000000000
Overig Werkkapitaal -1.1-143.1103.366.71.5-8.2-22.90.5-12.5-10.7-15.31721.7780.464-25.40554.44103.768-31.216-19.644-10.019-4.025-12.53110.35516.316-0.049-17.439-10.412-7.428-4.2412.157-0.0360.772-1.042-1.404
Overige Niet-Contante Posten 41.3-11.436.72520.818.115.914.316.516.112.5881.192-22.792-15.204-26.095-32.453-47.952-41.047-36.132-22.258-46.448-29.001-37.174-26.615-27.993-13.224-10.01-4.527-2.134-1.786-1.218-1.47-1.598
Kasstroom uit Operationele Activiteiten 1,162.2692329.2638.5520.4438.3283.6309.6336.2139.6127.716143.661103.26357.437185.011193.354185.865160.357139.46580.21729.67672.841109.44650.97529.37730.54328.74513.7347.842.8056.2381.2851.834
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -237.7-269.2-168.8-131.8-161-144.2-89.8-113.3-79.3-45.4-41.845-34.239-28.809-22.511-48.592-100.044-144.88-59.42-46.802-55.679-39.69-30.029-35.829-31.796-17.754-20.322-12.801-10.742-7.872-5.336-2.078-1.558-3.874
Netto Overnames -219.6-938.8-540.2-46.1-201.9-464.1-173.9-254.4-438.7-105-1.542-72.996-109.403-1.158-17.762-87.7-48.526-93.99-125.5016.954-7.484-8.007-101.855-18.27-55.165-7.973-35.077-27.1711.059-0.72600.133-2.067
Aankoop van Beleggingen -22.2-113.3-500-8.200000000000000000-12.158-0.551-9.122-0.033000000
Verkoop/verval van Beleggingen 23.300000000000000.2000.5280.0290.0110000.733000000000
Overige Investeringsactiviteiten -2.118.35.36.79.514.310.410.310.115.15.6762.9785.4786.5494.3724.729.1564.4016.262.9996.774-4.832-21.2692.5263.645-6.0130.7060.7810.3353.852-0.727-0.5540.102
Kasstroom uit Investeringsactiviteiten -458.3-1,303-708.7-171.2-353.4-602.2-253.3-357.4-507.9-135.3-37.711-104.257-132.734-17.12-61.782-183.024-184.25-148.481-166.014-45.715-40.4-42.868-158.953-58.965-69.825-43.43-47.205-37.132-6.478-2.21-2.805-1.979-5.839
Financieringsactiviteiten:
Schuldaflossingen -582-66-263.2-3.4-181.6-92.8-41.8-99.4-119.3-4.4-3.4-3.605-66.0470-139.09300-35.998-89.862-178.3420-31.74500-16.211-11.84-6.595-2.438-1.079-2.736-0.7100
Uitgifte van Gewone Aandelen 000.100.10.10.23.29.35.52.782.7090.3390.5490.6852.6934.6443.2882.7491.5850.6271.0910.4621.0940.1850.19925.465.121.3511.144000
Terugkoop van Gewone Aandelen -0.7-1.4-46.90-0.60-1.5-1.30000149.330000-2.406151.045187.333-0.418-8.022-3.980-0.51900-0.88900000
Uitgekeerde Dividenden -91.2-93.7-73.50-77.6-68.3-61.7-48-31.8-25.3-21.57-19.202-17.278-6.6610-42.262-35.546-25.103-17.713-13.2380000000000000
Overige Financieringsactiviteiten 257.6791.931.8716.3-24.444539.2221.4336-4.4-10.914-17.6920.1492.834-0.91450.59135.217-0.014-0.044-0.0911.1820.00667.13233.40410.79765.24611.48542.549-0.221-0.096-0.114-0.0592.36
Kasstroom uit Financieringsactiviteiten -416.3630.8-351.7712.9-284.1284-65.675.9194.2-24.2-29.704-37.7966.493-3.278-139.32211.0224.315-60.23346.175-2.7531.391-38.77663.61434.498-12.70353.60530.3522.2550.051-1.688-0.824-0.0592.36
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.8-11.942.9-41.413.5-2.2-10.1-18.13.89-4.2092.2380.8712.5251.738-10.018-4.856-0.015.4040.53500-0.797-1.2615.1280000-0.0410.175-0.118-0.008
Netto Kasstroomverandering 289.47.9-688.31,138.8-103.6117.9-45.41026.3-10.956.0923.85237.89339.564-14.35511.3341.074-48.36725.0332.284-9.333-8.80313.3125.247-48.02340.71811.89-1.1431.413-1.1342.784-0.871-1.653
Kaspositie aan het Einde van de Periode 938.7649.3641.41,329.7190.9294.5176.6222212185.7197.318141.226133.97693.20871.03358.39720.52434.42981.301-20.9349.44843.40756.232-37.982-26.34136.136-1.886-6.653.4452.6533.7871.0031.874