Modine Manufacturing Company

NYSE:MOD

109.77 (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 161.5153.686.3-209.5-285.923.814.9-122.8131.9-22.839.4496.18-29.279-108.612-65.59642.3327.64161.66240.43712.66623.34547.60565.40373.972.563.861.468.443.133.72830.525.2
Afschrijvingen & Amortisatie 56.154.554.868.677.176.976.758.350.251.658.155.857.6956.49265.76673.33480.95171.10472.09168.49461.42154.8163.50849.94748.82244.241.841.539.634.528.125.526.823.217
Uitgestelde Inkomstenbelasting 6.2-59.6-3.867.91-4.412.1-4.6-18.85.9-116.10.61.915-6.9453.394-13.97721.541-9.028-6.6958.5825.3737.8211.919.615-2.2355.7-0.1-1.5-1.8-0.2-3.50.70.6-1.60.7
Aandelen Gebaseerde Vergoedingen 10.86.65.76.36.67.99.57.44.943.63.11.6325.2182.7253.4580000000000000000000
Verandering in Werkkapitaal -24-52.4-85.543.4-38.2-70.4-9.8-36.3-23.9-411.6-22.3-65.413-47.74215.25885.914-20.395-10.445-5.52416.3561.83813.61732.40918.391-20.381-17.8-13.8-2.4-3.5-36.25.42.7-6.43.87.3
Vorderingen -8.3-40.7-55.6-17.136.6-15.3-26.1-25.78-0.1-18.215.1-7.505-42.99-52.126117.480000000000000000000
Voorraden -17.3-49.4-70.7-5-12-22-12.5-3.3-2.7-4.2-0.1-0.8-3.123-19.351-6.70711.771-5.482-3.0821.4239.1680.62-3.4228.36220.74.799-6.8-13.23.9-3.7-26.99.6-5.28.2-2.21.8
Crediteuren -59.110.255.144-37.716.625.219.9-9.9-2.415.2-3.2-14.55730.04162.363-52.2710000000000000000000
Overig Werkkapitaal 60.727.5-14.321.5-25.1-49.73.6-27.2-19.3-34.34.7-33.4-40.228-15.44211.7288.934-14.913-7.363-6.9477.1881.21817.0374.047-2.309-25.18-11-0.6-6.30.2-9.3-4.27.9-14.665.5
Overige Niet-Contante Posten 211.74.8-46173.113.47.411.51.96120.225.434.410.4857.6094.0453.39959.0315.16-0.060.654-1.8224.3940.232-2.866-0.407-0.8-0.1-1.2-5.32.70.814.80.4-2.6-3.1
Kasstroom uit Operationele Activiteiten 214.6107.511.5149.857.9103.3123.841.672.463.5104.548.845.75820.81261.90493.51667.354102.41131.857155.748107.249113.307131.404122.69291.202105.2102.9100.284.66775.263.745.853.347.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -88.5-50.7-40.3-32.7-71.3-73.9-71-65.4-104.5-75-57.3-49.8-64.352-55.061-60.297-103.261-87.013-82.752-79.87-68.567-72.534-50.519-35.763-66.31-90.147-110.7-83.3-56.2-55.7-34.1-29.2-23.6-16.9-28.8-20.5
Netto Overnames -198.20.300.23.8-1.10.7-364.2-1.4-55.5-7.8-4.90010.51500-11.096-44.291-100.026000000000000000
Aankoop van Beleggingen 0-3.4-3.9-3.6-3.3-3.8-5.5-3.5-2.7-5.20000-6.629-0.2330000000000000000000
Verkoop/verval van Beleggingen 3.33.43.63.44.14.94.82.22.12.400008.68700000000000000000000
Overige Investeringsactiviteiten -0.80.3-10.41.46.21.1-0.68.728.776.123.6-1.2-0.65813.9185.7659.8698.1314.0121.945-1.744.1914.4785.9290.02-3.153-18.20.7-5.2-44.11.3-18.7-0.4-0.8-47.2-15.2
Kasstroom uit Investeringsactiviteiten -283.4-50.4-51-31.3-60.5-72.8-71.6-422.2-77.8-57.2-41.5-55.9-65.01-41.143-41.959-93.625-78.882-89.836-122.216-170.333-68.343-46.041-29.834-66.29-93.3-128.9-82.6-61.4-99.8-32.8-47.9-24-17.7-76-35.7
Financieringsactiviteiten:
Schuldaflossingen -78.4-403.4-311-183.6-649.5-251.9-222.9-202.4-27.1-50.9-152.4-167.1-114.041-250.572-112.365-50.686-47.113-14.056-56.458-10.2460-55.814000-720-1.9-22.1-21.2-5.6-11.8-18.8-34.2-4.9
Uitgifte van Gewone Aandelen 0000000000000092.85876.4740.7012.91412.59.9713.7043.84412.4479.1272.9655.14.64.35.35.64.24.44.73.22.9
Terugkoop van Gewone Aandelen -13.3-7.300-2.4-0.600-6.9000-0.505-0.078-0.025-0.594-7.71-14.519-82.811-1.591-0.269-1.135-1.293-5.167-12.102-15.2-17-6.8-8.7-9.9-6.8-5.3-10.5-5-7.4
Uitgekeerde Dividenden 000000000000000-9.679-22.633-22.642-23.878-21.61-18.666-16.834-28.981-29.307-27.102-24.8-22.6-20.3-17.8-15.4-13.6-12.4-11.2-10-8.9
Overige Financieringsactiviteiten -2.4377.4350.238.5685.2226.6172.855036.736.3150.9167.4133.3259.254-2.167-3.876102.827.087118.3919.207-33.892-0.42-29.24-41.46221.412143.917.13.444.1-0.3-0.50.3-0.368.39.9
Kasstroom uit Financieringsactiviteiten 62.7-33.339.2-145.133.3-25.9-50.1347.62.7-14.6-1.50.318.7548.604-21.72411.63926.045-21.216-32.257-4.269-49.123-70.359-47.067-66.809-14.82737-17.9-21.30.8-41.2-22.3-24.8-36.122.3-8.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.8-2-0.41.4-1.6-2.73-1.71.1-8.41.9-0.8-0.98711.9-6.5892.569-0.929-1.6774.1875.4014.934-0.845-0.262-1.168-0.5-0.8-0.7-0.41.3-0.1-0.1-0.20.30.2
Netto Kasstroomverandering -721.8-0.7-25.229.11.95.1-34.7-1.6-16.763.4-7.6-1.485-10.7270.1214.94117.086-9.571-24.293-14.667-4.8161.84153.658-10.669-18.09312.81.616.8-14.8-5.74.914.8-8.2-0.13.2
Kaspositie aan het Einde van de Periode 60.167.245.446.171.342.239.334.268.970.587.223.831.44532.9343.65743.53638.31321.22730.79855.09172.42777.24375.40220.40131.0749.236.434.817.932.838.533.618.826.927.2