Pediatrix Medical Group, Inc.

NYSE:MD

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst -60.40862.568108.014-9.58-1,150.094268.629320.372324.596335.691317.203280.517240.907217.997202.691175.804169.201142.722124.46589.03798.27984.32868.77630.42810.9862529.120.913.16.75.4
Afschrijvingen & Amortisatie 36.17135.63632.14728.44178.86111.281102.87989.26464.22845.9939.96630.81625.29221.9516.71613.2110.5639.479.9159.3538.4056.13521.43913.8112.18.74.51.80.40.2
Uitgestelde Inkomstenbelasting 3.239-22.771-31.23936.292-177-24.149-60.07318.14914.4942.55915.9221.3448.06324.3757.447-13.649-7.016-1.7361.5515.811-9.71.497-14.725-1.345.75.16.54.41.50.5
Aandelen Gebaseerde Vergoedingen 12.32316.12718.96839.04235.35138.70329.5733432.12931.71931.28828.43727.09225.69324.3220.77617.96110.20610.20600000000000
Verandering in Werkkapitaal -11.62831.827-23.35652.72897.244-97.115117.646-26.222-75.3531.43835.3593.193-8.508-35.11817.08730.3926.27326.59751.70910.50735.00121.43453.19612.678-18.9-9.1-3-4.5-2.5-0.8
Vorderingen 26.276-5.543-72.73137.9377.854-36.5987.803-34-55.391-57.018-37.331-17.678-48.993-16.951-2.049-16.929-21.793-3.865-3.865-13.647-17.368000000000
Voorraden 000-54.887-34.117-66.72870.258-3.017-7.36710.6412.443-6.4343.27122.588-20.072-7.7541.002-4.39121.98-13.663-7.308000000000
Crediteuren 00.4221.32647.908104.16115.3924.55111.617-7.87466.03949.23916.95321.48-37.00339.48158.9445.1935.75835.75816.63735.165000000000
Overig Werkkapitaal -37.90436.9528.04921.7719.346-9.17915.034-0.822-4.71811.77621.00810.35215.734-3.752-0.273-3.8671.874-0.905-2.16421.1824.51221.43453.19612.678-18.9-9.1-3-4.5-2.5-0.8
Overige Niet-Contante Posten 157.62843.554-27.79757.6971,462.276-7.4240.9813.991-2.491-6.2682.3480.9951.0830.9670-38.537-1.9818.270-0.19700-0.0020.0150.100.10-0.20.1
Kasstroom uit Operationele Activiteiten 137.325166.94176.737204.62346.637289.925511.378443.778368.701422.641405.398325.692271.019240.558241.374181.391188.522177.272162.418123.753118.03497.84290.33636.1492433.82914.85.95.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -33.328-29.708-32.249-28.788-31.881-48.868-49.309-39.264-27.073-18.061-15.654-14.495-31.332-12.113-14.947-15.68-8.509-12.874-7.885-7.057-15.274-7.993-30.822-13.379-55-92.2-62.4-4.7-1.9-0.6
Netto Overnames -6.667-28.167-5.202-1.145137.755-91.727-531.696-762.302-818.903-479.394-238.045-441.006-154.885-338.596-151.321-205.724-119.101-91.838-91.937-64.853-75.243000000000
Aankoop van Beleggingen -31.893-17.346-35.052-61.845-35.101-15.884-27.723-60.976-33.98-26.884-20.802-33.12-42.526-26.478-19.601-26.227-201.756-78.673-19.13-12.46100000-9.9-14-57.4-34.40
Verkoop/verval van Beleggingen 22.90516.88916.49633.43251.10513.7125.4141.32531.95620.73511.01128.07338.1715.57522.73524.733238.57421.33514.12.5000003744.227.96.90
Overige Investeringsactiviteiten 0.8071.3782.934873.857-19.423-18.3896.705-19.651-2.024-6.149-9.791-446.05300068.306.10201.10-25.73505.138-17.2-0.10-42.5-5.10
Kasstroom uit Investeringsactiviteiten -48.176-56.954-53.073815.511102.455-142.769-576.613-821.217-848-503.604-263.49-460.548-190.573-361.612-163.134-222.898-90.792-155.948-104.852-80.771-90.517-33.728-30.822-8.241-72.2-65.2-32.2-76.7-34.5-0.6
Financieringsactiviteiten:
Schuldaflossingen -19.118-405.171-762.657-1.671-248.694129145.341427.87713.329540.841-117.099112.467-119.93396.238-89.816137.216-0.46-0.908-54.80852.437-0.75-0.589-48.304-27.24340.37.7-0.22.1-0.1-0.1
Uitgifte van Gewone Aandelen 4.9125.3966.8537.00911.25816.25823.27622.02220.12842.87628.69728.8131.36222.53217.95911.68227.38829.9251.42333.69427.93632.11115.8331.5858.15.83.559.839.90.6
Terugkoop van Gewone Aandelen -0.919-88.511-4.719-8.493-145.28-302.16-70.192-61.828-235.051-488.429-51.8630000-199.997-1000-50-149.998-100.002-49.998-2.56100000-0.1-0.4
Uitgekeerde Dividenden 000000000000000000000000000000
Overige Financieringsactiviteiten -10.590.7320.407-1.003-10.354-13.709-8.688-6.499-15.4632.4668.214-3.7370.472.0325.7744.1318.648.067000000000000
Kasstroom uit Financieringsactiviteiten -25.715-487.554-760.116-4.158-393.07-170.61189.737381.565482.94397.754-132.051137.54-88.101120.802-66.083-46.968-64.43237.079-53.385-63.867-72.816-18.476-35.032-25.65848.413.53.361.939.70.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000-0.131.43.2028.6-4.8
Netto Kasstroomverandering 63.434-377.567-736.4521,015.97356.022-23.45524.5024.1263.64416.7919.8572.684-7.655-0.25212.157-88.47533.29858.4034.181-20.885-45.29945.63824.4822.250.113.53.3039.70.1
Kaspositie aan het Einde van de Periode 73.2589.824387.3911,123.843112.76756.74580.255.69851.57247.92831.13721.2818.59626.25126.50314.346102.89369.59511.1927.01127.89673.19527.5573.0750.832.121.718.547.12.6