Meritage Hospitality Group Inc.

OTC:MHGU

19 (USD) • At close November 17, 2023
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 19.43435.37249.95132.31916.94213.31712.9179.8366.5885.2013.4792.0131.7631.832.4351.8043.4780.7690.9011.6640.7881.62.1091.0612.2651.337
Kortetermijnbeleggingen 0000000000000000000000.50000
Liquide middelen en kortetermijnbeleggingen 19.43435.37249.95132.31916.94213.31712.9179.8366.5885.2013.4792.0131.7631.832.4351.8043.4780.7690.9011.6640.7882.12.1091.0612.2651.337
Nettovorderingen 2.4120.3681.6041.7331.2151.560.9350.7390.4280.2380.5450.3210.3140.4631.2490.8420.1920.0760.2360.1290.060.12.7910.6320.9381.006
Voorraad 5.1894.7544.4083.6163.5173.2882.6391.5471.4021.2681.0780.9340.660.5280.3690.3390.2890.2620.2080.2030.2280.20.1650.2560.3540.209
Overige vlottende activa 7.1016.6196.1598.5153.4872.4032.5451.3722.5151.3581.3210.871.4130.8740.1510.4051.3750.1440.1610.2020.1650.10.0913.6010.014-0.435
Totaal vlottende activa 34.13647.11362.12246.18325.16120.56919.03613.49410.9338.0646.4244.1394.153.6954.2033.3915.3341.2511.5062.1981.242.55.1565.8544.0593.015
Niet-vlottende activa:
Materiële vaste activa, netto 551.753540.506506.592455.898467.197112.666111.63364.50349.07239.27332.3426.91924.1919.94629.20936.05842.80341.28838.07628.78119.09316.713.18318.97921.75713.218
Goodwill 205.703177.552174.243174.243174.243164.01291.74348.22838.01725.67520.56720.0998.3654.434.4300000005.1563.5863.6880
Immateriële activa 7.586.1325.2095.0394.2873.6241.9150.8411.3831.4091.4491.2561.0570.921.4674.436.2275.4414.434.6115.88360.8940.450.6060
Goodwill en immateriële activa 213.283183.684179.452179.282178.53167.63793.65849.0739.427.08522.01621.3559.4235.3495.8974.436.2275.4414.434.6115.88366.054.0364.2930
Langetermijnbeleggingen 01.7861.7861.7861.7865.4775.7525.5035.2624.7844.3374.2141.4591.699000000000000
Belastingvorderingen 0000000.3110.8762.3324.1044.4684.9313.8661.853000.6550.694000000.550.6210.437
Overige niet-vlottende activa 17.73318.2298.6796.7774.8634.5074.9013.5762.5242.222.0311.790.7470.6170.4312.8411.1071.3572.7432.2910.82900.5752.0541.1981.313
Totaal niet-vlottende activa 782.769744.205696.509643.743652.376290.286216.256123.52998.58977.46665.19359.20939.68429.46535.53743.32950.79148.77945.24935.68325.80522.719.80825.61927.86914.969
Totaal activa 816.905791.318758.631689.926677.537310.855235.292137.023109.52385.5371.61763.34843.83433.1639.7446.7256.12550.0346.75637.88127.04525.224.96431.47331.92917.984
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 21.95828.44521.73816.92821.6516.35717.69110.35710.0286.3514.7253.783.3762.7411.4062.5382.341.0571.4671.5831.3761.20.7272.0352.2280.449
Kortlopende schulden 74.71371.7350.32552.0678.10532.39445.65119.6713.37910.9823.9897.2162.0042.0731.580.8782.5061.4731.4831.0551.041.22.5944.830.6280.438
Belastingschulden 4.4694.724.862.852.9010.9060.6360.5140.3660.930.9370.9640.8030.776000000000.05000
Uitgestelde opbrengsten 00000000000000000001.575001.3591.1110.9362.082
Overige kortlopende verplichtingen 21.77325.82629.34125.69517.88215.6113.6099.4739.5137.2436.3164.4084.3812.9473.3242.2722.1191.9661.7340.0171.1711.20.2450.0610.1640.002
Totaal kortlopende verplichtingen 118.444126.001101.40494.683117.63764.36176.95239.532.91924.57615.0315.4049.767.7616.315.6886.9644.4974.6844.2313.5873.64.9258.0383.9562.971
Langlopende verplichtingen:
Langetermijnschulden 164.278514.425517.56469.738457.94156.16497.45355.93341.22532.33831.4925.64917.15610.35817.55722.15532.5234.08730.79723.10417.18413.912.01921.06423.66611.205
Uitgestelde opbrengsten niet-vlottend 2.3011.1541.7132.8722.15222.60214.3029.41110.411.63511.1410.57411.11612.08712.60200000001.992-14.939-21.628-11.07
Uitgestelde belastingverplichtingen niet-vlottend 15.80315.82113.729.6618.3411.573.3773.0933.8792.9461.9121.3881.1850.9660.377000000000.740.8180.752
Overige niet-vlottende verplichtingen 394.03916.7215.5514.5538.3898.7654.7392.9590.5661.0031.2761.9371.1350.5221.512.0484.4583.0733.6654.2091.7421.80.59414.93921.68911.07
Totaal niet-vlottende verplichtingen 576.421548.12548.543496.824476.822189.101119.87171.39656.0747.92245.81839.54830.59323.93332.03734.20336.97837.1634.46227.31318.92715.714.60521.80424.54511.957
Totaal passiva 694.865674.121649.947591.507594.459253.462196.823110.89688.98972.49860.84854.95240.35331.69438.34739.89243.94241.65739.14631.54422.51419.319.5329.84228.50214.928
Eigen vermogen:
Preferente aandelen 0.0150.0140.0140.0140.0130.0130.010.0090.0090.0080.0080.0080.0050.00500.0050.0050000000.0010.0010
Gewone aandelen 0.0650.0660.0660.0670.0630.0630.0620.060.0570.0560.0550.0550.0550.05500.0550.0530.0540.0530.0530.0450.10.0570.0320.0320.03
Ingehouden winsten 81.14477.99273.13359.48947.1231.04318.0349.0732.623-4.403-7.161-10.215-13.121-15.4370-10.662-5.804-5.315-6.029-6.712-7.217-5.8-6.262-7.285-5.493-2.057
Overige gereserveerde algehele resultaten 6.3428.9591.40200-00-0.86-00000000000-0.5390-1.70000
Overige totale aandeelhoudersvermogen 33.57729.11731.14336.23333.65226.61320.13917.84517.84517.37117.81418.49616.48916.7411.39417.4317.92913.63513.58513.53411.70313.311.6397.2827.4815.082
Totaal eigen vermogen van aandeelhouders 121.143116.148105.75895.80380.84857.73138.24526.12620.53313.03210.7168.3443.4291.3631.3946.82812.1838.3747.6096.3374.5315.95.4340.032.0213.055
Totaal eigen vermogen 122.04117.197108.68498.41983.07857.39338.46926.12620.53313.03210.7688.3963.4811.4661.3946.82812.1838.3747.6096.3374.5315.95.4341.6313.4273.055
Totaal passiva en aandeelhoudersvermogen 816.905791.318758.631689.926677.537310.855235.292137.023109.52385.5371.61763.34843.83433.1639.7446.7256.12550.0346.75637.88127.04525.224.96431.47331.92917.984