Lennar Corporation

NYSE:LEN

172.63 (USD) • At close November 4, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 3,961.2914,648.5014,456.5492,467.5531,842.1191,717.513771.754913.091819.2628.693504.926657.332112.544120.459-417.147-1,109.085-1,941.081593.8691,344.41945.619751.391545.129417.845229.137172.7144.184.48870.468.252.529.121.113.728.1
Afschrijvingen & Amortisatie 110.16487.07585.95494.55392.291.18166.32450.21943.66638.54230.34928.08121.513.5219.90532.39956.76450.01179.55873.28675.91172.38968.6758.53147.724.491210.38.41010.67.36.50
Uitgestelde Inkomstenbelasting -67.968-246.653191.62792.082235.493268.03791.0597.485-5.63775.324151.619-467.561-20.345-25.198606.105772.508-438.817-198.00510.2281.539-51.143-5.6729.769-17.22328.112.5-30.1-16.1-8.2-9.3-2.3-5.2-5-7.4-4.6
Aandelen Gebaseerde Vergoedingen 160.72184.086134.621107.13186.9472.65561.35655.51643.87340.71833.68931.74524.04728.07530.39200000000000000000000
Verandering in Werkkapitaal 571.536-2,321.356-1,650.9021,319.104-827.066-169.254-187.359-685.063-1,313.566-1,582.612-1,485.294-751.668-448.47273.611210.5870.122-331.764-621.461-1,311.883-750.1-124.374-375.355-422.187222.294-107.7-86.9-130.6-36.8-38.7-51.8-71.3-42.67.331.81.5
Vorderingen -329.191-422.398-289.776180.72-119.084-462.312102.976-212.684-433.325-522.354-16.299-220.587-132.258340.444-122.99900000000000000000000
Voorraden 2,274.083-2,383.821-1,960.614781.362-623.644-135.87-661.494-503.527-1,126.907-1,367.415-1,627.136-563.051-38.903-115.247428.964292.264666.228-371.268-1,687.491-870.194-267.234-242.33-130.725223.255-77.4-112.3-107-62-35.6-34.3-87.4-54.513.214.80
Crediteuren -625.862701.113881.309266.488-14.639412.796356.66921.432225.79326.087164.57128.129-106.841-120.862-95.89600000000000000000000
Overig Werkkapitaal -747.494-216.25-281.82190.534-69.69916.13214.499.71620.876-18.93-6.433.841-170.47-30.7240.431577.858-997.992-250.193375.6080142.86-133.025-291.462-0.961-30.325.4-23.625.2-3.1-17.516.111.9-5.9170
Overige Niet-Contante Posten 443.995914.015-685.075110.39652.657-268.523193.73976.556-7.18210.847-43.00377.42351.59163.761-28.912591.8592,803.581547.02-5.7650-70.986-31.923-14.901-13.34-19.5-30.95.3-34.90.1-0.2-0.20.1-0.1-0.1-22.5
Kasstroom uit Operationele Activiteiten 5,179.7383,265.6682,532.7744,190.8191,482.3431,711.609996.864507.804-419.646-788.488-807.714-424.648-259.135274.228420.8431,100.834444.513554.65322.975272.747580.799204.56859.196479.399121.363.2-91.112.2-13.1101.8-68.5-72.3-26.7382.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -99.799-57.214-65.172-72.752-86.497-130.439-111.773-76.439-91.355-22.599-8.126-2.822-9.936-5.062000-26.783-21.747-27.389-18.848-4.085-13.11-16.022-35.1-203.7-70.8-26.3-10.1-55.1-21.4-11.7-4.5-40
Netto Overnames -201.042-447.401-375.843-471.239-394.089-1,283.555-1,041.407-426.486-314.937-165.272-146.768-116.16645.157-184.69924.11900-33.213-416.049-105.73-159.389-424.2770-158.35700.148.210.821.8000000
Aankoop van Beleggingen -8-93.769-128.162-45.548-36.261-78.373-160.82-80.2-105.753-70.606-64.664-62.541-237.285-537.859-327.741-176.514-107.791-108.626-37.35-48.562-29.614-31.545-18.143-18.112-13.1-3.4-113-119.5-57.5-42.90000-26.9
Verkoop/verval van Beleggingen 4.67326.08330.94656.16652.593439.45945.37525.46730.64101.11736.05251.637109.0997.99528.173220.322107.5382.49236.07834.37617.67422.44217.714.94611.63.7158.148.116.3000004.7
Overige Investeringsactiviteiten 127.187443.999433.145253.168483.85444.786398.808471.821383.012595.719872.755375.183-43.18946.2540.329-309.511307.244-320.339-564.505-290.85171.9871.78815.416-9.1718.1-6.5148.8-88.5-1.7-26.2-36.9-37-7.3-16-4.6
Kasstroom uit Investeringsactiviteiten -176.981-128.302-105.086-280.20519.596-608.122-869.817-85.837-98.393438.359689.249245.291-136.154-673.371-275.12-265.703306.983-406.469-1,003.573-438.156-118.197-365.6771.863-186.716-28.5-209.8171.3-175.4-31.2-124.2-58.3-48.7-11.8-20-26.8
Financieringsactiviteiten:
Schuldaflossingen -1,226.251-623.079-1,355.063-2,294.141-1,122.902-2,052.191-1,422.968-90.37-817.031-625.592-822.365-499.974-249.389-616.159-455.014-444.483-1,064.16-28.436-697.7510000-73.226-30.50000000-39.4-13.70
Uitgifte van Gewone Aandelen 28.7120276.0800.4933.0610.7219.4719.40513.59934.11432.1746.7512.238221.4370.22421.58831.13138.06914.53718.19719.31719.7895.5773.341.32.8110.898.31.230.71.3
Terugkoop van Gewone Aandelen -1,182.711-1,039.309-1,430.212-321.524-523.074-299.833-27.054-19.902-23.188-20.424-12.32-17.149-5.724-1.806-1.566-1.758-3.971-323.229-289.284-113.582-1.044-0.0650-152.925-60000000-0.3-1.40
Uitgekeerde Dividenden -430.56-438.038-309.776-195.043-51.454-49.159-37.608-35.324-33.192-32.775-30.912-30.394-29.906-29.577-27.588-83.487-101.123-101.295-89.229-79.945-22.705-3.182-3.146-2.896-2.9-2.7-3.3-3.5-3.5-3.3-2.6-2.3-2.3-2.3-2.3
Overige Financieringsactiviteiten -436.779823.147414.236364.13367.713202.2212,681.206-105.2871,258.6761,326.63609.71841.839443.026981.144371.024102.601413.045-7.3761,362.321036.66344.924465.695146.497-0.1107-77.816259.228.636.7123.779.3-1.824.6
Kasstroom uit Financieringsactiviteiten -3,247.589-1,277.279-2,404.735-2,446.575-1,629.224-2,195.9011,194.296-250.883394.67661.438-221.773326.496164.758335.84108.293-426.903-734.621-429.205324.126322.47831.11160.994482.338-76.973-36.2145.6-78.3159.556.726.1132.4122.640.3-18.523.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -1,660.9170000000000000000000000000000000000
Netto Kasstroomverandering 1,755.1681,860.08722.9531,464.039-127.285-1,092.4141,321.343171.084-123.369311.309-340.238147.139-230.531-63.303254.016408.22816.875-281.024-356.472157.069493.713-100.115543.397215.7156.6-11.9-3.712.43.75.61.61.8-0.5-0.7
Kaspositie aan het Einde van de Periode 6,570.9384,815.772,955.6832,932.731,468.6911,558.4582,650.8721,329.5291,158.4451,281.814970.5051,310.7431,163.6041,394.1351,457.4381,203.422795.194778.3191,059.3431,427.9411,270.872777.159877.274333.877118.261.652.926.530.317.910.54.93.31.52