Landstar System, Inc.

NASDAQ:LSTR

172.64 (USD) • At close December 20, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 264.394430.914381.524192.106227.703255.213176.996137.35147.689138.809108.922129.781112.94586.58269.95110.93109.653113.085119.95671.87250.749.22142.79445.19445.934.48124.718.92524.413.6
Afschrijvingen & Amortisatie 58.15357.45349.60945.85544.46843.5740.5635.79629.10227.57527.66727.45625.81424.80423.52820.9619.08816.79615.9213.95912.73611.5212.32711.78710.4828.89218.78321.878-20.8-13.9-16.4
Uitgestelde Inkomstenbelasting -7.709-5.36-3.791.134.7672.115-17.0316.3286.7925.4344.74.26110.0710.5252.4193.8730.5213.297-1.2553.967-2.8995.5131.7763.9111.788-0.4236.620.355-0.4-1.5-0.3
Aandelen Gebaseerde Vergoedingen 4.28212.39927.5374.6394.23618.2567.7212.7476.9256.7974.9116.1495.0124.7694.9686.6367.617.1730.19300.0850000000000
Verandering in Werkkapitaal 64.807117.622-182.479-42.76817.598-27.942-76.2015.52519.622-80.1365.823-44.47-43.564-13.11535.95-30.6530.432146.769-142.232-56.304-18.0469.63-16.42-12.776-19.7064.74816.214-25.171-29.7-4.1-14.3
Vorderingen 222.89512.22-362.2349.4159.8317.4155.7355.7355.89-60.454-28.5847.804-98.151-38.20632.78-10.6577.653207.128-198.894-126.718-34.637-11.2211.3828.23-37.5-7.2-5.8-28-14.4-29.2-26.3
Voorraden 00362.234-9.415-9.831-59.429-166.851-2.38214.86800-60.23500000000-2.0417.3-9.419-18.091-0.131-2.08411.4930.474-2.6-2.20
Crediteuren -131.392-76.758224.125108.09-42.13822.52768.859-9.5983.63262.2818.88125.67426.0116.267-1.634-11.24-5.191-42.19644.31248.48411.4164.484-7.189-4.3216.72.510.52.5-2.95.74.2
Overig Werkkapitaal -26.696182.16-406.604-150.85859.7361.54516.05611.77-4.768-142.417-3.058-17.71328.5778.8244.804-8.756-2.03-18.16312.3521.937.215-0.933-1.1941.4051.22511.5320.021-0.145-9.821.67.8
Overige Niet-Contante Posten 9.7219.6314.3399.7559.0686.6896.9182.4965.8923.399.992.4077.7565.1938.1497.94312.5625.04813.94716.2510.828.4291.2161.2161.22832.1652.1142.13241.527.732.7
Kasstroom uit Operationele Activiteiten 393.648622.659276.74210.717307.84297.901138.963190.242216.022101.869162.013125.584118.034108.758144.964119.689140.608292.1686.52949.74453.39684.31349.79454.04743.39253.36370.43124.9942036.416.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -25.688-26.005-23.261-30.626-19.416-9.747-15.586-22.645-4.804-10.539-6.373-7.072-4.337-27.505-2.715-8.289-6.514-4.173-3.857-6.377-5.557-4.421-5.443-7.305-12.716-7.185-9.794-12.853-41.2-7.5-6.7
Netto Overnames 05.2362.971-2.7663.3914.018-8.4610.2120074.505000-14.8880.14600000000040.43500-33.93200
Aankoop van Beleggingen -101.639-45.201-84.992-25.55-65.922-54.041-58.504-43.529-44.238-36.473-50.613-56.897-58.413-65.818-49.965-6.921-48.266-45.701-8.197-12.606-31.896-8.889-0.496-1.435-5.0050-4.7990000
Verkoop/verval van Beleggingen 112.55541.19831.93822.76362.79151.57656.44241.79538.68434.70138.77733.02867.17440.91715.93213.80147.49642.3344.97712.4674.2192.51.4841.0603.0121.7870000
Overige Investeringsactiviteiten 8.294-4.999-50.0837.760.64.0184.03210.2121.6857.4659.5439.734.3851.68628.865-7.8873.7082.624.4920.9711.6120.3870.9061.9582.1322.71617.69612.5177.12.51.6
Kasstroom uit Investeringsactiviteiten -6.478-24.772-73.344-28.419-18.556-8.194-22.076-14.167-8.673-4.84665.839-21.2118.809-50.72-22.771-9.15-3.576-4.92-2.585-5.545-31.622-10.423-3.549-5.722-15.58938.9784.89-0.336-34.1-5-5.1
Financieringsactiviteiten:
Schuldaflossingen -67.765-62.5884.086-22.833-44.635-30.186-40.76-46.85-35.54-30.567-59.157-53.536-22.2859.685-73.963-26.814-0.28-78.6452.653-14.30518.074-37.3572.7536.92220.138-5.442-29.82116.0391.488-28.7-44.1
Uitgifte van Gewone Aandelen 00000059.6900000000012.86210.589.63916.15111.1897.3343.1610.1430.2931.4890.4290.2360035.9
Terugkoop van Gewone Aandelen -53.919-285.983-122.722-115.962-88.578-208.087-50.516-50.516-161.152-56.393-59.496-25.826-50.45-102.736-55.757-51.576-176.59-156.492-95.6-27.001-73.844-26.306-37.199-46.185-51.384-53.229-20.980-1.72700
Uitgekeerde Dividenden -117.13-115.671-111.961-109.504-27.891-88.918-15.938-14.332-57.882-27.6060-33.981-9.983-9.422-8.686-8.136-7.389-6.361-2.922000000000000
Overige Financieringsactiviteiten -9.157-11.44-2.35-3.733-9.461-3.488-0.881-0.376-0.0952.219-2.4632.111-7.763.242.48114.4816.4865.7580000000.190-11.142-40.1610.03900
Kasstroom uit Financieringsactiviteiten -247.971-475.682-232.947-252.032-170.565-330.679-54.396-112.074-254.669-112.347-121.116-111.232-90.478-99.233-135.925-72.046-167.773-225.155-36.23-25.155-44.581-56.329-31.285-39.12-30.763-57.182-61.514-23.886-0.2-28.7-8.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.263-2.195-0.232-0.4271.06-1.7081.0280.376-2.104-1.034-0.7180.243-0.1710.1820.547-0.339000000000-26.47200-0.10-11
Netto Kasstroomverandering 141.462120.01-29.783-70.161119.779-42.6863.51964.377-49.424-16.358106.018-6.61636.194-41.013-13.18538.154-30.74162.093-32.28619.044-22.80717.56114.969.205-2.968.68713.8070.772-14.42.7-8.2
Kaspositie aan het Einde van de Periode 481.043339.581219.571249.354319.515199.736242.416178.897114.52163.944180.30274.28480.944.70685.71998.90460.7591.49129.39861.68442.6465.44747.88632.92623.72126.68117.9944.1873.417.84.1