Lear Corporation

NYSE:LEA

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

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

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Operationele Activiteiten:
Nettowinst 645.7408.7461.6233.9830.71,246.71,380.91,040.5795.8702.3455.81,317.2570.4461.4826.7-689.9241.5-707.5-1,381.5422.2380.51326.3274.7257.1115.5208.2151.994.259.8-2.1
Afschrijvingen & Amortisatie 604.4576.5573.9539.9509.9484.4427.7378.2347.8310.9285.5239.5246.3235.9263.7299.3296.9392.2393.4355.1321.8301392.2392.2340.9219.7184.4145.794.758.542.6
Uitgestelde Inkomstenbelasting -58.8-49.4-55.5-84.7-38.286.7-81.3103.648.6-5845.4-693.7-55.8-10.929.830.4-43.9-5544.700000000-1.2-1.7-0.30
Aandelen Gebaseerde Vergoedingen 67.55260.34023.341.470.268.265.770.759.439.834.622.915.319.2000000000000000
Verandering in Werkkapitaal 26.2-1.2-422.3-132.1-63-104.227.196.624.3-85.8-17.7-128.625.748.3-5.8-137-236.2209.7-28.3124.2-51.446.965130.361.8100.4210.7-57.430.458.4
Vorderingen -148.3-518.8160.9-164.7-116.2230.8-115.2-176.3-173.4-358.7-239.6-111.5-165.8-291.3-8947.2-168.900746.300000000000
Voorraden -117.9-29.8-213.4-107.7-69.1-32.5-76-53.54.1-91.2-102-60-101-106.893.255.6-6.929.4-76.9-7-27.4-34.2760.8-57.2-59.9-10.330.9-27.4-31.52.9
Crediteuren 162.4368.6-129.6214-5.5-199.3195.3157.676.2231.3189.5174.6216.7318.460.5-779.2-125.900189.800000000000
Overig Werkkapitaal 130178.8-240.2-73.7127.8-103.223168.8117.4132.8134.4-131.775.8128-70.5539.465.5-9.486.6-957.4151.6-17.2-29.164.2187.5121.7110.7179.8-3061.955.5
Overige Niet-Contante Posten -35.734.852.166.121.624.8-41.5-67.8-11.1-12.3-8.3-44.4-30.9-135.7-1,304.9622.263.918.7411.1-73.1-240.2282.5364.421.2-168-111.6-43.6-44.57.47.314.4
Kasstroom uit Operationele Activiteiten 1,249.31,021.4670.1663.11,284.31,779.81,783.11,619.31,271.1927.8820.1729.8790.3621.9-175.2144.2466.9285.3560.8675.9586.3545.1829.8753.1560.3285.4449.4462.6134.6155.7113.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -626.5-638.2-585.1-452.3-603.9-677-594.5-528.3-485.8-424.7-460.6-458.3-329.5-193.3-118.8-167.7-202.2-347.6-568.4-429-375.6-272.6-267-322.3-2,870-679.6-520.1-682.8-993.8-191.1-45.9
Netto Overnames -174.5-188.300-321.70-292.4-155.9-499.2-3500-243.91.36.329.324-134.335.4-11.8-103-13.7-15.20-11.8000000-172.1
Aankoop van Beleggingen 0000000000000000000000000000000
Verkoop/verval van Beleggingen 0000000000000000000000000000000
Overige Investeringsactiviteiten 39.5-3.8-61.6-16.53.2-16.518.347.119.7-5.956.714.325-5.1-2.7-0.7-3.538.648.959.542.528.565.9109331.81.80.41.16.2-4.53.2
Kasstroom uit Investeringsactiviteiten -761.5-830.3-646.7-468.8-922.4-693.5-868.6-637.1-965.3-780.6-403.9-687.9-303.2-192.1-92.2-144.4-340-312.2-531.3-472.5-346.8-259.3-201.1-225.1-2,538.2-677.8-519.7-681.7-987.6-195.6-214.8
Financieringsactiviteiten:
Schuldaflossingen -166.5-8-441.8-1,681.2-341.5-6.3-996.2-21.9-14.4-577.1-72.1-72.1-5.1-968.3-557.200-25.4-259.800000000000-103.6
Uitgifte van Gewone Aandelen 00698.71,649.8702.87.3994.79.150097550000087512.67.6199.44.724.466.447.410.12.17.73.48.4249.5281.5103.70
Terugkoop van Gewone Aandelen -296.5-100.3-100.3-70-384.7-704.9-450.5-658.8-487.4-411.4-1,000.1-222.8-279.10-500-4.4-25.4-25.4-97.7-1.100-77.9-15.2-18.200000
Uitgekeerde Dividenden -181.9-185.5-106.7-67.3-186.3-186.3-137.7-88.8-78.5-65.3-58.4-54.6-51.1-16.2-23.800-16.8-67.2-6800000000000
Overige Financieringsactiviteiten -107.6-93.5-63.5-243-152.2-140.3-152.3-112.5-76-82-67.9-46.6-37663.8-48.8994.1-53145.60.7307.4-223.9-343.2-655.6-4482,045.5398.630.6-47.9560.4-86.1231.1
Kasstroom uit Financieringsactiviteiten -419.5-387.3-13.6-411.7-361.9-1,030.5-742-872.9-156.3-160.8-698.5-396.1-372.3-320.7195.21,006.7-49.8277.4-347166.1-158.6-295.8-645.5-523.82,038383.839201.6841.917.6127.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 12.8-7.7-321.5-9.4-36.456.3-34.3-47-3017.82.1-14.6-934.1-15.721.554.9-59.846.1-3.314.15.6-12.316.825.718.29.413.2-0.7-2.5
Netto Kasstroomverandering 81.1-203.96.8-195.9-9.419.4228.875102.5-43.6-264.5-352.1100.2100.1-38.1990.898.6305.4-377.3415.677.64.1-11.2-8.176.917.1-13.1-8.12.1-2323.5
Kaspositie aan het Einde van de Periode 1,198.51,117.41,321.31,314.51,510.41,519.81,500.41,271.61,196.61,094.11,137.71,402.21,754.31,654.11,5541,592.1601.3502.7207.6584.9169.391.787.698.8106.93012.92634.13255