Lithia Motors, Inc.

NYSE:LAD

305.46 (USD) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operationele Activiteiten:
Nettowinst 1,000.81,261.61,062.7470.3271.5265.7245.217197.058182.999138.7210680.36258.8613.7199.151-252.58621.54937.30449.842.67135.54732.31621.75424.31319.210.8643.4
Afschrijvingen & Amortisatie 195.8228.1166.3121.382.475.457.72249.36941.626.36320.03517.31416.94817.58618.82117.73221.34217.46814.49813.14310.2957.8139.2757.6055.63.52.51.81.9
Uitgestelde Inkomstenbelasting 58.795.243.117.240.133-2.79810.13812.34113.35514.47714.1728.093-2.1315.627-105.03314.456.3125.28612.13910.2354.963-0.0970.196-1.70.60.3-0.90
Aandelen Gebaseerde Vergoedingen 40.841.134.723.216.213.311.27211.04711.8717.4366.5653.1162.0012.4192.0541.7253.3843.5340.490.240.1850.1690.221000000
Verandering in Werkkapitaal -2,176.9-2,209.2414.3-3696.5145.9-157.009-185.254-183.998-145.749-106.685-324.627-76.628-68.154-22.08163.338-115.568-27.4142.0477.22333.4162.32418.4344.057-1-5.712.7-30.1
Vorderingen -1,045.5-1,494.6-147.1-113.524.44.7-57.36-105.961-13.047-59.474-37.37-33.704-22.503-22.88111.92119.0961.607-8.137-11.8641.178-0.695-4.512-1.007000000
Voorraden -863.5-923674.6228.8-19.7-108.9-193.099-168.847-197.079-76.002-106.896-230.442-78.202-68.305119.69379.173-13.84345.36-59.311-23.60138.466-107.12664.21.814-20.1-17.6-9-6.81.4
Crediteuren -19.925.378.428.2-1.815.120.00816.4490.674-3.1058.488.0015.9984.96-2.789-39.478-101.33-66.088-82.626-96.531-164.421-12.346-149.593000000
Overig Werkkapitaal -248183.1-191.6-179.593.623573.44273.10525.454-7.16829.101-68.48218.07918.072-150.9064.547-2.0021.451155.848126.177160.066126.308104.8342.24319.111.921.73.8-1.3
Overige Niet-Contante Posten 44.7-26.976.1-53.8-7.2-13.6-5.5484.1599.396-9.806-8.333-2.813-10.0415.231-3.638359.9895.6320.7350.4970.131-1.3650.081-0.3280.1160.30.1-1.5-0.90.5
Kasstroom uit Operationele Activiteiten -836.1-610.11,797.2542.2499.5519.7148.85686.51774.20930.31932.059-212.476-0.766-21.339.93485.165-49.21137.93972.61875.54788.31347.66649.25936.28722.49.319.81.55.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -230.2-303.1-260.4-167.8-124.9-158-105.378-100.761-83.244-85.983-50.025-64.584-31.673-7.589-21.131-57.423-91.941-73.699-53.289-61.82-49.776-38.483-30.686-25.983-57.7-40.5-8.80-0.5
Netto Overnames -1,042.2-1,031.5-2,623-1,445.8-319.9-339.5-439.451-222.863-58.649-649.017-81.105-38.098-36.647-22.7527.69743.483.18-101.59-51.713-79.395-63.799-81.698-45.496-56.6600000
Aankoop van Beleggingen -11.1-11.8-10.3-11.2-7.2-62.7-8.57-30.28-28.11-9.110029.6770000000000000000
Verkoop/verval van Beleggingen 15.30260.4167.8124.91580000000.1210000000000000000
Overige Investeringsactiviteiten -2.116.6-257.1-148.8-110.9-154.915.2012.2110.277.7780.8083.685-0.910.37314.52418.2298.1290.51218.34813.0175.195-2.09814.9553.166172.3-24.9-6.6-0.1
Kasstroom uit Investeringsactiviteiten -1,270.3-1,329.8-2,890.4-1,605.8-438-557.1-538.198-351.693-169.733-736.332-130.322-98.997-39.422-19.96621.094.286-80.632-174.777-86.654-128.198-108.38-122.279-61.227-79.477-40.7-38.2-33.7-6.6-0.6
Financieringsactiviteiten:
Schuldaflossingen -2,884.1-10,553.4-357.5-1,991.7-68.7-2,574.1-1,904.673-1,167.502-1,322.383-1,260.041-42.505-629.381-75.575-72.394-205.619-95.605-134.39-122.56300000000000
Uitgifte van Gewone Aandelen 29.736.11,136.2790.41110.17.5096.9326.0654.594.9738.6525.6544.19245.5764.4416.56.8447.9947.0834.80282.2651.8532.2130.842.63.924.20.1
Terugkoop van Gewone Aandelen -48.9-688.3-230.7-50.6-3.2-148.9-33.753-112.939-31.548-22.968-7.903-23.279-13.568-1.626-0.001-0.002-5.247-4.72-0.01-0.013-0.215-4.3660-0.48100000
Uitgekeerde Dividenden -52.8-45.2-38.8-29.1-27.6-27.7-26.544-24.131-19.985-15.929-10.085-12.066-6.822-3.919-9.444-9.444-11.018-10.184-7.698-5.634-2.575000000-6.4-6.1
Overige Financieringsactiviteiten 5,729.613,286.7-1.42,420.7-472,752.32,353.7741,568.0911,478.4852,006.573139.603989.535142.044111.573140.3660.368269.063245.49533.4476.07176.531-6.16831.18149.88327-11.313.1-73.2
Kasstroom uit Financieringsactiviteiten 2,773.52,035.91,222.81,139.7-9.111.7396.313270.451110.634712.22579.11333.46151.73337.826-29.122-100.242124.908114.87233.7337.50778.54371.73133.03451.61527.831.31710.8-2.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 33.4-32.50.1000-0.0010000000000000000028.913.95.1-5.3
Netto Kasstroomverandering 694.7931676.252.4-25.76.9715.27415.116.212-19.15321.98811.545-3.471.902-10.791-4.935-21.96619.697-45.14458.476-2.88221.0668.4259.531.31710.8-2.8
Kaspositie aan het Einde van de Periode 941.4271.5178.5160.28431.657.25350.28245.00829.89823.68642.83920.8519.30612.77610.87421.66526.648.56629.26474.40815.93259.85538.78930.449.832.420.54.2