Mercer International Inc.

NASDAQ:MERC

6.45 (USD) • At close November 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -242.056247.039170.988-17.235-9.639128.58970.48334.94375.502120.966-25.768-13.87464.902114.748-89.101-100.87832.38883.425-138.64227.065-4.517-6.64-2.52729.474-38.1099-32.616.164.145.51487.34.3
Afschrijvingen & Amortisatie 172.502144.153132.199128.921126.39496.72985.29471.98468.33378.01278.64576.77472.58874.78577.61277.62682.73874.37663.55939.93230.30426.90220.55722.1397.01811.213.31113.98.90.61.121.3
Uitgestelde Inkomstenbelasting -36.3927.00318.791-15.249-7.87316.59622.05616.80917.515-22.01611.482-0.156-3.081-12.98-8.6012.75111.89375.043-13.587-57.539000000.30-3.1-9.100000
Aandelen Gebaseerde Vergoedingen 5.9226.7372.3940.9283.0363.942.894.6592.4091.5863.5742.6974.293.1840.6520.3680.54100000000000000000
Verandering in Werkkapitaal -64.19-24.995-154.886-76.962106.483-34.601-52.1387.712-12.987-25.479-13.931-6.874-2.384-95.96484.895-32.597-68.405-13.32331.226-46.008-7.141.3648.629-11.6610.33.4-11.6-0.3-45.8-30.3-34-7.53-7.5
Vorderingen 52.507-20.476-121.579-6.26941.369-10.37-64.9499.466-11.256-25.1134.78-7.396-1.604-40.03832.105-14.811-7.38100000000000000000
Voorraden -15.836-63.184-96.442-11.4324.683-58.082-19.9946.844-13.2356.445-14.5631.775-22.958-32.53446.074-18.558-56.5189.719-4.912-39.268-9.4711.8032.337-3.391-0.996-2.425.3-7.3-12.82.7000
Crediteuren -98.18266.79675.589-53.74445.25637.95937.17-10.2749.665-5.382-6.026-0.00514.252-3.089-2.951.24-9.30500000000000000000
Overig Werkkapitaal -2.679-8.131-12.454-5.519-4.825-4.108-4.3651.6761.839-1.4291.878-1.2487.926-20.3039.665-0.4684.799-23.04236.138-6.742.331-0.4396.292-8.271.2965.8-13.6-5.6-38.5-17.5-36.7000
Overige Niet-Contante Posten 95.209-19.27712.72821.16225.88225.41513.3414.6758.448-8.481-17.6772.2347.62237.625-11.98836.213-31.1920.71389.478-0.00120.87920.1070022.1550.146.9-31.7-35.310.71-4.8-3.4-1.1
Kasstroom uit Operationele Activiteiten -69.005360.66182.21441.565244.283236.668141.926140.782159.22144.58836.32560.8143.938121.39853.469-16.51927.96364.96513.41913.01239.52641.73326.65939.952-8.63618.516-8-12.234.8-18.4-3.28.9-3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -136.324-179.237-160.825-79.165-132.657-87.612-59.692-44.37-50.345-39.388-45.707-48.541-49.004-50.938-41.303-35.782-7.103-43.47-26.022-296.177-408.9130-6.84500-69.8-13.1-18.2-8.4-9.8-18.90-1.10
Netto Overnames -82.1-256.604-51.258-0.647-6.38-380.312-61.627000000007.94600-173.511-1.0430-209.59400-255.186000000000
Aankoop van Beleggingen 0-750-9.3700000000-15.79500000-1.9530.1560-0.643-0.569-1.918-1.264000-6.3-0.2-78.2-102.8-8.9-2.6
Verkoop/verval van Beleggingen 075.519026.91000000016.15200001.1841.5631.0141.5738.05600.6050.1896.8672.201.92.41.988.4103.110.18.4
Overige Investeringsactiviteiten 18.5579.64524.9562.445-0.3210.445-0.2320.0670.528-9.7170.7390.8644.7672.99419.46830.62642.384-40.24572.456-2.8050.494.338-2.44440.0044.1787.6-3.901.3-1.11.70-4.70.5
Kasstroom uit Investeringsactiviteiten -199.867-425.677-187.127-59.827-139.358-467.479-121.551-44.303-49.817-49.105-44.968-31.526-60.032-47.944-21.8352.7936.465-82.152-128.016-298.296-400.367-205.899-9.25338.275-245.405-60-17-16.3-11-9.2-70.3-4.66.3
Financieringsactiviteiten:
Schuldaflossingen 253.487105.3279.19752.65143.22169.121337.336-23.079-33.821-237.3999.823-32.142-92.882-23.799-31.156-43.848-44.187-18.34840.613288.581374.64193.441-21.1460.067160.56499.5-3.25.7-0.71.728.912.85.71.4
Uitgifte van Gewone Aandelen 00000000053.85900.02800000.4450.73478.8745.7451.1470.2870003.3007.102.5000
Terugkoop van Gewone Aandelen 000-0.162-0.7540000000-10.62300000000000-0.2170000-1.1-0.2-0.8-4.8-3.5
Uitgekeerde Dividenden -19.95-19.847-17.167-21.892-35.279-40.724-29.866-29.733-7.418000000000000000-0.834-0.6-0.500000-0.30
Overige Financieringsactiviteiten -4.913-3.515-1.534-4.28-1.09-13.536-18.719-9.565-15.42561.6475.412.47520.64317.67117.8070.37-1.14818.90530.693132.45710.353-9.04-6.794-61.61447.704-15.200.1-0.6-12.1000.1-0.7
Kasstroom uit Financieringsactiviteiten 228.62481.965-9.50426.3176.09814.861288.751-62.377-56.664-175.75215.233-30.239-77.848-8.15-19.126-43.478-44.891.291150.18279.715386.14184.688-26.926-61.547207.21787-3.75.85.8-11.531.2120.7-2.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.208-8.526-1.0711.958-0.429-4.29710.716-2.065-6.282-14.2873.699-0.1361.785-1.8230.156-1.8132.43-2.2414.6312.2842.021-1.071.4820.094-4.7043.3-0.9-14.1-0.1-1.2-1.10.10.1
Netto Kasstroomverandering -40.048.422-15.48810.013110.594-220.247319.84232.03746.457-94.55610.289-1.1027.84163.48112.664-59.01921.969-18.13840.214-3.28527.32119.451-8.03816.774-51.52848.8-5.6-19.5-13.3144.685.10.6
Kaspositie aan het Einde van de Periode 313.992354.032345.61361.098351.085240.491460.738140.89699.62953.172147.728137.857136.183131.69673.48759.097123.90492.12798.87867.14565.36531.78310.45818.4961.72253.24.49.729.244.931.120.814.18.9