Quaker Chemical Corporation

NYSE:KWR

140.33 (USD) • At close December 27, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 112.193-15.842121.43139.78731.88459.81122.363.03952.70658.29758.85150.2445.934.09117.4911.13215.47111.6671.6888.97414.83314.2977.66517.16315.710.712.6-7.66.79.4-1.812.110.814.112.811.78.57.6
Afschrijvingen & Amortisatie 81.98780.46786.5583.24644.89519.71419.96619.56619.20616.63115.78415.35813.79310.85510.60312.05612.88311.56310.5319.7677.6376.2376.386.81277.17.38.78.67.37.67.86.75.94.8000
Uitgestelde Inkomstenbelasting -11.442-16.95-13.428-37.206-22.428-0.07318.7622.282-3.523-0.249-1.8560.9472.4311.849-0.5051.014-0.3540.404-4.476-1.8721.3890.328-0.627-1.8211-0.10.7-3.7-0.5-0.2-0.50.10.500000
Aandelen Gebaseerde Vergoedingen 14.60511.66611.03810.9964.8613.7244.196.3495.9195.3094.1613.8073.5133.0962.130.819-0.085-0.507-0.025-0.039-0.41800000000000000000
Verandering in Werkkapitaal 81.465-112.924-136.34629.5696.943-9.788-2.781-10.19-10.077-24.5641.008-0.118-41.379-6.36119.25-14.198-2.511-12.018-0.61-16.226-17.746-0.2621.034-3.714-10.9-11.2-1.37.8-8-72.34.1-71.4-2.7000
Vorderingen 32.169-59.112-67.47317.1719.926-2.822-1.941-11.705-0.188-24.944-11.8370.779-31.558-4.469-6.81615.582-4.093-8.947-9.6-6.361-14.60400000000000000000
Voorraden 49.751-29.858-84.428-3.85410.844-10.548-6.135-1.871.292-5.4840.4063.228-9.281-7.1539.765-0.073-5.182-4.146-5.821-7.559-4.692-3.1012.762-0.65-0.6-1.1-1.90.1-2.8-2.10.41.41.4-1.6-0.9000
Crediteuren 5.937-23.43911.5587.49-22.4540.1912.38114.566-9.042.99911.301-2.5624.4425.51116.54-27.8927.6125.4415.7260.1290.47800000000000000000
Overig Werkkapitaal -6.392-0.5153.9978.763-1.3733.392-7.086-11.181-2.1412.8651.138-1.563-4.982-0.25-0.239-1.815-0.848-4.365-0.915-2.4351.0722.839-1.728-3.064-10.3-10.10.67.7-5.2-4.91.92.7-8.43-1.8000
Overige Niet-Contante Posten 0.21295.377-20.31251.99716.2195.3912.325-7.2939.201-0.734-4.147-7.341-4.592-5.983-7.3652.5682.097-2.9264.1812.7532.6823.7988.1522.953-0.26.1-4.10.60.1-4.30.1-0.40.5-1.7-0.6-11.7-8.5-7.6
Kasstroom uit Operationele Activiteiten 279.0241.79448.933178.38982.37478.77964.76273.75373.43254.6973.80162.89319.66637.54741.60313.39127.5018.18311.2893.3578.37724.39822.60421.39314.212.615.2287.34.416.823.710.219.714.311.78.57.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -38.8-28.539-21.457-17.901-15.545-12.886-10.872-9.954-11.033-13.052-11.439-12.735-12.117-9.354-13.834-11.742-9.165-12.379-6.989-8.643-12.608-10.837-8.036-6.126-5.7-17.5-5.6-6.9-9.8-9.3-9-7.2-8.4-12.7-7.6000
Netto Overnames 0-13.115-42.417-56.23-893.412-0.5-5.363-15.024-24.058-73.527-2.478-5.635-25.477-35.909-1.975-1.859-2.373-1.684-6.700-21.285-1.718-3.5000022.66.50000000
Aankoop van Beleggingen 0000000000000-1.12400000000000000-2-4.5-0.900-2.40000
Verkoop/verval van Beleggingen 0000000.7120.9910.72500005.122000000000000000.610.84.1502.1000
Overige Investeringsactiviteiten 11.1791.46314.7442.7460.3251.0282.3391.2090.8952.1081.5011.6362.2330.2299.197-6.5482.1130.6085.1412.093-11.7581.8711.7275.582-0.70.74.20.6-8.310.6-11.6-11.6-1.6-0.40.8000
Kasstroom uit Investeringsactiviteiten -27.621-40.191-49.13-71.385-908.632-12.358-13.896-23.769-34.196-84.471-12.416-16.734-35.361-41.036-6.612-20.149-9.425-13.455-8.548-6.55-24.366-30.251-8.027-4.044-6.4-16.8-1.4-6.3-17.50.4-14.2-14.7-5-15.5-4.7000
Financieringsactiviteiten:
Schuldaflossingen -204.20758.88714.244-49.761888.337-26.791-2.853-14.5135.68657.403-12.791-17.947-27.6187.749-22.2287.342-9.29312.856-2.74416.56828.0116.173-2.947-0.318-1.11.62.6-12.214.2-0.9-1.6-0.12.46.50.6000
Uitgifte van Gewone Aandelen 0-0.3780.893.8671.370.0823.903000048.14348.1430011.9193.3091.2350.3870.964.3282.9512.9020.810.61.60.911.4012.51.30.20.1000
Terugkoop van Gewone Aandelen -2.74900-3.867-1.370-5.859-5.859-7.27600-49.38200000000000-1.961000-1.6-3.6-7.6000-8-2.9000
Uitgekeerde Dividenden -31.65-30.103-28.599-27.563-21.83-19.319-18.613-17.625-16.513-14.562-13.018-12.616-11.586-10.449-10.111-9.503-8.654-8.444-8.34-8.241-7.916-10.387-7.41-6.989-6.8-6.5-6.2-5.9-6-5.7-5.5-5.1-4.8-4.3-3.8000
Overige Financieringsactiviteiten -2.749-4.1120.892.069-22.377-0.795-31.787-0.1331.206-12.68-0.3970.0220.2147.037-0.478-0.404-1.265-1.49-4.149-1.907-2.3910-2.101-0.295-0.1-0.10.1-0.10.10-0.1-0.1-0.1-0.2-0.3000
Kasstroom uit Financieringsactiviteiten -238.60624.672-13.465-75.255844.13-46.905-55.209-38.13-16.89730.161-26.206-30.5419.1534.337-32.8179.354-15.9034.157-14.8467.3822.032-1.263-9.556-8.753-7.4-3.4-2.6-18.86.1-14.2-6.2-2.8-1.2-5.8-6.3000
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.771-10.488-3.0576.5911.258-6.1415.404-4.089-6.017-4.1410.7660.02-2.315-0.1331.985-1.8991.961.056-0.8522.9762.0150.424-1.024-0.721-2.1-0.6-1.3-1.6-7.21.4-1.5-2.8-12.10.3000
Netto Kasstroomverandering 13.56415.787-16.71938.3419.1313.3751.0617.76516.322-3.76135.94515.638-8.8570.7154.1590.6974.133-0.059-12.9577.1638.058-6.6923.9977.875-1.5-8.29.91.3-11.3-8-5.13.430.53.611.78.57.6
Kaspositie aan het Einde van de Periode 194.527180.963165.176181.895143.555124.42589.87988.81881.05364.73168.49232.54716.90925.76625.05120.89220.19516.06216.12129.07821.91513.85720.54916.5528.710.218.48.5011.319.324.4211817.411.78.57.6