La-Z-Boy Incorporated

NYSE:LZB

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

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

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Operationele Activiteiten:
Nettowinst 122.626151.941152.328107.52978.98470.14181.59586.98480.96371.97156.3847.18288.90817.37332.051-121.347-13.5374.139-3.04137.185-5.79636.31661.75168.33687.61466.149.945.339.336.334.727.325.123.428.3
Afschrijvingen & Amortisatie 124.549116.704112.71398.59298.86531.14731.76729.13126.51722.28323.18223.1423.48624.30225.24671.15624.69627.20429.23428.32929.11230.69543.98845.69730.34222.12120.420.115.21414.114.81413.7
Uitgestelde Inkomstenbelasting -3.2683.8951.0228.790.719-1.66817.2610.5694.5811.03-0.2163.198-42.146-0.12-0.538-2.813-6.027-16.39-3.40311.632-11.8436.004-8.431-8.365-5.797-3.13.2-2-1-2.60-2-5.400
Aandelen Gebaseerde Vergoedingen 14.42612.45811.85812.6718.37110.9819.4748.8648.2926.788.73911.4585.7183.725.2363.8190000000000000000000
Verandering in Werkkapitaal -101.59-85.342-183.14395.285-49.56213.284-0.2823.912-0.859-11.95-4.1387.0519.564-25.2917.69550.5168.614-14.50335.844-35.52441.162-7.80524.2175.225-53.729-3.2-18.6-3.5-6.4-8.5-20.7-17.21.90.9-23.9
Vorderingen -16.811-129.756-41.829-38.288-55.26814.205-16.134-7.8510.73-2.5953.3377.13900000000000000000000000
Voorraden 19.87732.311-72.022-40.72714.93.135-8.00912.517-14.621-7.644-9.4440.391-7.414-10.5315.99136.99523.4714.48625.132-10.63316.309-41.02839.848-3.159-4.703-4.6-6.90.41.9-4.1-6.7-2.72.69.2-3.9
Crediteuren -8.6068.2086.32637.068-9.913-2.3886.6024.541-1.007-5.2061.704-6.0887.470000000000000000000000
Overig Werkkapitaal -96.053.895-75.618137.2320.719-1.66817.2616.85414.7690.93.60212.7489.508-14.75911.70413.521-14.857-18.98910.712-24.89124.85333.223-15.6318.384-49.0261.4-11.7-3.9-8.3-4.4-14-14.5-0.7-8.3-20
Overige Niet-Contante Posten 270.4485.511-15.774-12.9526.86526.86-24.067-3.286-7.133-3.3636.885-23.589-2.6827.8619.96950.35731.79733.71824.54.3433.94459.78211.6895.11600000-0.10.112.40-0.1-0.1
Kasstroom uit Operationele Activiteiten 158.127205.16779.004309.917164.242150.745115.75146.174112.36186.75190.83268.4482.84827.84689.65951.68849.23933.23389.77745.965136.846124.992133.214116.00958.4381.955.560.25240.328.134.636.438.218
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -53.551-68.812-76.58-37.96-46.035-48.433-36.337-20.304-24.684-70.319-33.73-25.912-15.663-10.54-10.986-15.625-27.386-25.811-27.991-34.771-31.593-32.821-32.966-37.416-37.968-25.3-22-17.8-18.2-19-17.5-12.2-12.2-21.4-22.4
Netto Overnames -34.468-16.835-26.323-2-6.85-76.505-16.495-35.878-23.311-1.7746.043-15.832-0.97110.5410.98615.62512.9389.63311.499-6.806-9.189-3.08900-57.9520000000000
Aankoop van Beleggingen -18.351-9.092-34.152-39.584-37.477-20.698-28.593-29.763-21.009-40.327-54.233-49.589-7.944-10.2-4.933-11.33-34.562-18.165-25.2890000000000000000
Verkoop/verval van Beleggingen 24.81624.48336.09636.07137.24420.94422.67419.95428.72133.7534.55718.6628.64910.6558.83334.67535.5817.34212.98300000000000001.62.93.1
Overige Investeringsactiviteiten 4.9720.13622.5882.7712.3532.1253.5270.7383.71311.9972.347-5.37-3.165-10.71510.109-25.353-0.705-0.955-1.87517.595.62-25.86218.587-0.174-8.479-4.5-14.5-7-0.1-1.3-2.8-0.60.51.90.2
Kasstroom uit Investeringsactiviteiten -81.554-70.12-78.371-40.703-40.765-122.567-55.224-65.253-36.57-66.673-45.016-78.041-19.094-10.2614.009-2.008-14.14362.044-30.673-23.987-35.162-61.772-14.379-37.59-104.399-29.8-36.5-24.8-18.3-20.3-20.3-12.8-10.1-16.6-19.1
Financieringsactiviteiten:
Schuldaflossingen -0.489-0.123-0.121-75.05-0.161-0.223-0.262-0.288-0.508-7.571-0.579-2.511-25.936-41.618-54.707-92.139000000000-8-8.30-14.1-2.8-0.60-10.2-7.1-2.4
Uitgifte van Gewone Aandelen 10.8722.857-1.8189.033.02913.9012.9773.5660.421.3973.5652.90100.27000004.5736.71411.46222.65210.5649.2358.37.45.84.31.84.93.93.52.71.7
Terugkoop van Gewone Aandelen -52.773-5.004-92.463-44.202-43.369-22.957-56.73-35.957-44.082-51.853-32.097-10.333-5.179000-0.269-6.947-10.89-2.476-72.509-130.287-42.372-23.906-31.046-30.5-16.4-20.8-10-12.8-2.9-2.7-0.4-0.9-0.2
Uitgekeerde Dividenden -32.665-29.869-27.717-16.542-25.091-23.508-22.009-20.655-18.141-14.513-10.514-4.236000-5.177-20.746-24.886-22.923-22.868-21.514-22.941-21.886-21.189-17.447-16.4-15-14.1-13.7-12.3-11.7-10.9-10.5-10-9.6
Overige Financieringsactiviteiten -6.172-5-24.26-14.2971.179-10.154-0.2311.7371.2641.38412.9352.5634.59830.58542.85250.794-50.929-35.356-39.4231.939-10.08579.989-73.982-34.02666.1040.116.7-7.8-0.27.1-0.1-4.80.5-0.2-0.1
Kasstroom uit Financieringsactiviteiten -81.227-37.139-144.561-141.0542.558-32.787-76.255-51.597-61.047-71.156-26.69-11.616-26.517-10.763-11.855-46.522-71.944-67.189-73.236-18.832-97.394-61.777-115.588-68.55726.846-46.5-15.6-36.9-33.7-19-10.4-14.5-17.1-15.5-10.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.926-0.086-1.9193.015-1.144-0.4751.7410.178-0.688-0.281-0.55-0.068-0.1290.012-0.756-0.9010.109-0.4560.5160.6770.7750.603-0.041-0.65-0.074-0.7-19-0.10-20-0.3-0.2-0.40.10.2
Netto Kasstroomverandering -5.5897.822-145.847131.175131.741-5.084-13.98829.50214.056-51.35918.576-21.28537.1086.83591.0572.888-36.73927.632-13.6163.8235.0652.0463.2069.212-19.1974.9-15.6-1.60-19-2.97.18.86.2-11.5
Kaspositie aan het Einde van de Periode 341.098346.678248.856394.703263.528131.787136.871141.86112.35898.302149.661131.085152.37115.262108.42117.36414.98251.72124.08937.70533.88228.81726.77123.56514.35333.69.825.5276.925.928.821.812.96.7