Maximus, Inc.

NYSE:MMS

72.94 (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 306.914161.792203.828291.2214.509240.495220.816212.182180.16160.049145.396117.125-0.0340.97469.39754.5836.677-8.2552.4636.06938.77435.34640.34636.24630.46827.614.58.611.6
Afschrijvingen & Amortisatie 125.527149.316132.79590.718100.16185.45862.19267.97771.78156.19748.66835.81626.4622.84518.3412.23212.52820.9717.64515.14513.1511.237.28410.086.2222.72.40.40.3
Uitgestelde Inkomstenbelasting -36.0221.55210.204-6.577-19.14512.6616.7214.7625.6520.8072.8982.396-3.2741.758-7.09526.719-28.851-12.598-9.4024.80613.361-2.312.6610.5251.917-2.8-2.5-0.90
Aandelen Gebaseerde Vergoedingen 35.34929.52230.47628.55423.70820.77420.23821.36518.75117.23717.27814.55512.0779.4857.9187.3079.1233.8296.5771.3721.0360.9390.3420.8510.5280000
Verandering in Werkkapitaal 78.938-31.562-79.43104.053-72.923-2.66113.55831.564-89.438-28.073-0.64-48.3353.798-18.64552.148-67.01127.0647.695-18.69313.747-23.1338.0865.902-15.977-34.6710.3-22.23.7-8.8
Vorderingen -50.562-23.40114.13238.578-141.842-60.31334.03353.025-51.986-103.774-0.144-93.092-4.999-1.5162.415-7.649-1620.438-28.922-12.6433.158-8.35412.792-16.209-2.0650000
Voorraden 00.8590-26.904-79.93-47.589.8742.61-7.617-7.386-0.484-12.397-1.781-8.89716.478-26.6161.252-0.8130.398-232.625-261.671-194.845-190.337-214.258-159.8830000
Crediteuren 18.26717.729-32.72226.90479.9347.58-7.725-28.309-2.37144.351-2.92831.6786.4857.312-0.4071.8553.0140.43416.33210.6755.8669.965-2.5150.024-0.5350000
Overig Werkkapitaal 111.233-26.749-60.8465.47568.91957.652-22.6244.238-27.46438.7362.91625.4764.093-15.54433.662-34.60138.79427.636-6.501248.34229.514201.32185.962214.466127.8120.3-22.23.7-8.8
Overige Niet-Contante Posten 4.5523.72-8.0349.374-1.718189.276113.459-0.65-6.88114.4171.693-0.61976.13380.443-2.267-3.19730.036-0.45117.1092.9553.8851.7561.8296.656-0.360.10.1-0.20
Kasstroom uit Operationele Activiteiten 515.258314.34289.839517.322244.592356.727323.525337.2180.026206.217213.6120.938115.1696.86138.44130.63356.57351.1915.69674.09447.07355.04758.36438.3814.10427.9-7.117.33.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -114.19-90.695-56.145-36.565-40.707-66.846-26.52-24.154-46.391-105.149-47.148-62.176-23.148-26.114-22.608-26.582-15.449-17.83-26.121-13.337-6.476-6.825-7.85-5.069-5.004-21.8-1-0.5-0.3
Netto Overnames 09.732-14.295-1,798.915-3.816-437.486-0.157-1.642-41.136-289.212-2.67-68.055-63.763-1.021-10.26-0.406-3.151.8710-1.946-6.605-14.715-23.706-0.78-53.3220000
Aankoop van Beleggingen 0000019.996-19.99600000-0.23700034.68300-71.649-47.3-0.03400.134-23.229-23.20-39.9-1
Verkoop/verval van Beleggingen 00000-19.9960000000.299000126.2101.8250001.0930.13436.134027.800
Overige Investeringsactiviteiten -14.914016.43100.38520.4490.3690.5750.4240.4890.4290.3980.2370.2370.473-0.0486.166-8.8950.144-10.48-7.839-4.137-4.949-7.49921.149-0.1-1.40.10
Kasstroom uit Investeringsactiviteiten -129.104-80.963-54.009-1,835.48-44.138-483.883-46.304-25.221-87.103-393.872-49.389-129.833-86.612-26.898-32.395-27.036148.46-24.854-24.152-97.412-68.22-25.711-35.412-13.08-24.272-45.125.4-40.3-1.3
Financieringsactiviteiten:
Schuldaflossingen -112.036-108.675-155.6581,493.64618.6039.522-0.137-164.981-45.377207.938-0.162-0.172-0.0440.3040.526-0.417-1.627-1.69-1.374-1.649-1.197-0.155-0.251-0.744-6.768-1.8-2.50.50.4
Uitgifte van Gewone Aandelen 0000000000000000012.9537.69714.64522.48215.178.99852.5762.26461.90.153.80.2
Terugkoop van Gewone Aandelen -73.069-8.475-96.119-3.363-166.959-47.446-66.919-28.863-33.335-82.787-111.141-33.287-12.977-56.54-40.217-30.046-164.4660-10.139-16.056-25.656-21.944-50.8420000-1.2-0.9
Uitgekeerde Dividenden -72.901-68.073-68.716-68.838-70.155-63.887-11.692-11.674-11.701-11.927-12.187-12.272-12.18-10.327-8.375-8.054-7.798-8.75-8.587-6.40300000-0.8-7.4-21.7-2.2
Overige Financieringsactiviteiten -17.64-65.57572.222-35.752-11.579-9.048-13.132-9.911-6.429-2.109-3.6543.8697.43615.9765.6642.94319.0142.0781.3310000000-0.3-0.10
Kasstroom uit Financieringsactiviteiten -275.646-250.798-248.2711,385.693-230.09-110.859-91.88-215.429-96.842111.115-127.144-41.862-17.765-50.587-42.402-35.574-154.8774.591-11.072-9.463-4.371-6.929-42.09551.832-4.50459.3-9.931.7-1.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 3.1642.717-7.3340.4741.705-2.052-2.3483.503-4.554-6.9-4.572-12.9385.579-1.7463.8620.1870000000000.1000
Netto Kasstroomverandering 113.672-14.704-19.77568.009-27.931-240.067182.993100.053-8.473-83.4432.495-63.69516.36217.62967.506-31.7950.15630.927-19.528-32.781-25.51822.407-19.14377.133-24.67242.28.48.7-0.1
Kaspositie aan het Einde van de Periode 235.763122.091136.795156.5788.561116.492349.245166.25266.19974.672158.112125.617189.312172.95155.32187.815120.62870.47239.54559.07391.854117.37294.965114.10836.97561.619.4112.4