ModivCare Inc.

NASDAQ:MODV

18 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2.78214.451133.139183.28161.3655.67895.3172.26284.77160.40698.99555.86343.18461.26151.15729.36435.37940.7038.99410.65715.0041.01914.451
Kortetermijnbeleggingen 000000000000000000003.97300
Liquide middelen en kortetermijnbeleggingen 2.78214.451133.139183.28161.3655.67895.3172.26284.77160.40698.99555.86343.18461.26151.15729.36435.37940.7038.99410.65718.9771.01914.451
Nettovorderingen 375.113294.341233.121197.943180.416147.756167.909162.311194.347158.2194.922103.2192.30285.88292.06685.05583.0947.9833.73223.84612.7767.682294.341
Voorraad 02.0411.4580.7580.1557.05120.34109.8899.8735.9242.3190-0.0010.0010.0760.236.5990000.870
Overige vlottende activa 21.51537.36243.57444.63414.49150.49512.76960.33830.71846.15711.83114.80722.60824.42624.1510.2852.6530.4517.2454.0081.5640.00837.362
Totaal vlottende activa 399.41346.154409.834426.616256.427210.98296.329294.911319.724374.646211.672176.199158.093171.568167.375141.664141.95895.73349.97138.51233.3179.579346.154
Niet-vlottende activa:
Materiële vaste activa, netto 125.405108.54397.29958.47243.33822.96550.37746.2257.78757.14832.70930.3828.56316.40111.16611.98311.5622.7842.3852.3161.7721.119108.543
Goodwill 785.554968.654924.787444.927135.216135.216121.668168.748340.029355.641113.263113.915113.737113.783113.673112.771280.7156.65644,731.64624,717.14513,429.2700
Immateriële activa 360.935439.409490.213345.65219.91226.14643.93949.124285.951340.67343.47649.65159.47466.44273.96381.55698.25429.03764.22832.22814.41512.5350
Goodwill en immateriële activa 1,146.4891,408.0631,415790.579155.127161.362165.607168.748625.98696.314156.739163.566173.211180.225187.636194.326378.96485.69364.22832.22814.41512.5351,408.063
Langetermijnbeleggingen 41.53141.30383.069137.466130.869161.503169.912161.36325.368-6.066-2.152-531.881-1,964.814-1,633.644-3,558.034-4,757.403-5,094.246-965.903-790.2380000
Belastingvorderingen 000002.6014.6324.0030.0426.0662.152531.8811,964.8141,633.6443,558.0344,757.5355,094.246965.903790.2380.6071.54300
Overige niet-vlottende activa 54.4440.20922.22312.7811.6212.83517.23319.14925.07537.13723.63821.59219.18618.73916.9317.55819.4998.1252.4292.2582.2411.56181.512
Totaal niet-vlottende activa 1,367.8651,598.1181,617.591999.297340.954361.266407.761399.483734.252790.599213.086215.538220.959215.365215.732224410.02596.60269.04137.40919.97115.2151,598.118
Totaal activa 1,767.2751,944.2722,027.4251,425.913597.381572.246704.09694.3941,053.9761,165.245424.758391.737379.053386.933383.107365.663551.984192.335119.01375.92153.28824.7941,944.272
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 55.24154.9598.698.4649.8058.82815.40422.17730.00748.0613.9044.5694.4612.8884.0113.00514.0352.9022.1341.2431.0011.61354.959
Kortlopende schulden 122.5279.649.8738.3227.0380.7182.41.72131.37590.68848.25141018.11317.48114.2658.950.3324.0830.4031.5823.6850
Belastingschulden 0002.042003.7230.37224.30200000000000000
Uitgestelde opbrengsten 2.6292.2024.228104.62815.93310.31834.86852.71928.66712.2453.6877.0552.1945.3748.3473.3754.0620.7910.1830.948000
Overige kortlopende verplichtingen 340.005424.796504.443203.338117.41123.019174.258150.701205.223188.464118.224107.00590.23287.31887.31469.56269.55924.57413.1427.9954.7324.085436.638
Totaal kortlopende verplichtingen 520.402491.597527.234324.752150.186142.883226.93227.318295.272339.458174.065132.629106.887113.693117.15390.20796.60628.59919.54210.597.3169.384491.597
Langlopende verplichtingen:
Langetermijnschulden 983.7571,011.4491,009.749509.41714.5470.3530.5841.89272.47484.52575.25116140.493164.19186.732223.494236.4690.61914.2410.7332.23910.8311,021.089
Uitgestelde opbrengsten niet-vlottend 33.7840-94.611-20.012-22.907-25.650-67.291000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 39.58457.23694.61192.19522.90725.6541.62767.29193.47493.2399.44710.89412.9111.5811.7410.09630.64.0613.9830000
Overige niet-vlottende verplichtingen 33.55329.434117.175107.95137.93640.6221.38689.94625.05226.60915.35913.5279.748.7215.1443.975000009.22177.03
Totaal niet-vlottende verplichtingen 1,090.6781,098.1191,126.924689.55152.48340.97363.59791.836390.996604.373100.056140.421163.143184.491203.616237.565267.0694.67918.2240.7332.23920.0521,098.119
Totaal passiva 1,611.081,589.7161,654.1581,014.303202.669183.856290.527319.154686.268943.831274.121273.05270.03298.184320.769327.772363.67533.27937.76611.3239.55529.4361,589.716
Eigen vermogen:
Preferente aandelen 0001,425.91377.1277.39277.54677.56577.57600000000000000
Gewone aandelen 0.020.020.020.0190.0180.0180.0170.0170.0170.0170.0140.0140.0140.0140.0140.0130.0130.0120.010.0090.0080.0020
Ingehouden winsten -24.437180.023211.829218.414183.733187.127204.818156.71869.209-13.366-33.641-53.079-61.561-78.501-102.128-123.25432.35117.9628.581-0.845-7.93-6.8270
Overige gereserveerde algehele resultaten 000-1,425.932-0.018-0-25.805-33.449-16.831-8.756-1.419-0.893-1.128-0.881-1.676-4.450.379-4.158-3.884-2.97-1.598-1.1170
Overige totale aandeelhoudersvermogen 180.612174.513161.418193.196133.859123.853159.152174.389238.189243.469178.722165.684164.737161.156159.167158.315147.917145.2476.5468.40353.2523.299354.556
Totaal eigen vermogen van aandeelhouders 156.195354.556373.267411.61394.712388.39415.728375.24368.16221.364143.676111.726102.06281.78855.37730.625180.66159.05681.24664.59843.733-4.643354.556
Totaal eigen vermogen 156.195354.556373.267411.61394.712388.39413.563372.82367.708221.414150.637118.687109.02388.74962.33837.891188.309159.05681.24664.59843.733-4.643354.556
Totaal passiva en aandeelhoudersvermogen 1,767.2751,944.2722,027.4251,425.913597.381572.246704.09694.3941,053.9761,165.245424.758391.737379.053386.933383.107365.663551.984192.335119.01375.92153.28824.7941,944.272