ModivCare Inc.

NASDAQ:MODV

18 (USD) • At close November 7, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Operationele Activiteiten:
Nettowinst -204.46-31.806-6.58588.8360.966-18.82553.8289.84683.19420.27519.4388.48216.9423.62721.126-155.60514.3899.3819.4257.0852.646-4.719-31.806
Afschrijvingen & Amortisatie 116.615100.41556.99826.18216.81627.67726.46947.72558.30129.48814.87215.02313.65612.65212.85212.7215.2813.6212.2151.4280.970.361100.415
Uitgestelde Inkomstenbelasting -17.652-36.663-17.69111.9190.071-52.406-22.99644.362-0.01-5.208-3.282-0.816-0.531.3692.299-14.554-0.502-0.317-0.0680.0080.8150.136-36.663
Aandelen Gebaseerde Vergoedingen 6.4566.8725.9043.935.4148.9937.5435.13626.6227.5623.0793.8733.6751.6940.3028.762,406.616601.041601.041175.013175.01306.872
Verandering in Werkkapitaal -163.159-106.94183.358219.7993.617-40.32612.289-15.191-65.9333.96116.6649.91-7.909-2.68417.095-15.493-2.79-6.357-4.89-7.161-5.330.0970
Vorderingen -78.096-55.781-11.45355.885-29.928-30.9975.715-19.332-86.627-17.2087.845-15.714-9.0190.029-9,276.794-9,276.794-242.881-3,678.707-3,678.707-2,971.87-2,971.8700
Voorraden 0011.453-55.88538.17817.18826.06-21.09524.182-7.887-6.51817.1535,343.441-7,050.35715,974.48115,940.4770000000
Crediteuren -7.677-30.0584.238126.415-4.144-21.799-9.06433.365-21.928.48318.8632.412-5,342.6497,046.947-6,680.776-6,680.7769,146.3273,178.3693,178.369-618.247-618.24700
Overig Werkkapitaal -77.386-21.11-0.8893.384-0.489-4.718-10.422-8.12918.4120.573-3.5266.0590.3180.6970.1841.6-8,906.236493.981495.4483,582.9563,584.78700
Overige Niet-Contante Posten 179.22957.68164.856-2.23134.05682.786-22.081-130.395-88.934-0.8834.4666.0165.2067.3677.427176.556-2,404.789-600.569-599.269-174.869-173.8595.007-49.26
Kasstroom uit Operationele Activiteiten -82.971-10.442186.84348.43560.947.89955.04441.48313.2455.19555.23742.48831.03844.02561.10112.38618.2046.88.4551.5030.2550.881-10.442
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -42.288-33.004-21.316-12.15-10.858-17.521-19.923-41.216-35.072-23.242-10.183-9.522-11.305-10.266-3.699-4.664-1.949-1.076-0.917-0.875-0.949-0.116-33.004
Netto Overnames 0-78.809-664.309-622.8620-43.71115.593357.917180.438-416.986-0.989-0.19-4.889-1,037.65-1.038-10.268-242.176-17.605-24.335-15.831-2.9720-78.809
Aankoop van Beleggingen 000000-3-13.663-0.018-0.0190444.05-0.113-2.424-0.194-0.186-0.32-0.149-3.51-3,955.76-3.95600
Verkoop/verval van Beleggingen 00000015.5930.239000.1770.44401,734.44600003,469.9794000
Overige Investeringsactiviteiten 0-000015.91-7.44920.628-2.058-3.108-2.848-441.4171.692-696.796-0.6975.38-3.136-6.742-3,469.9793,952.765-0.3220.1280
Kasstroom uit Investeringsactiviteiten -42.288-111.813-685.625-635.012-10.858-45.3220.814323.905143.29-443.355-13.843-6.635-14.616-12.69-5.628-9.738-247.581-25.572-28.763-15.7-8.1980.012-111.813
Financieringsactiviteiten:
Schuldaflossingen -113.424-2.415-125-500-0.718-420-358.385-305.125-48.625-82.509-20.516-146.826-21.983-34.417-8.740-16,655.55500000
Uitgifte van Gewone Aandelen 0.0316.7893.22725.41311.8612.4131.9214.1084.89411.01910.0690.9490.0560.4710.150.4692.36366.1012.5513.63636.21706.789
Terugkoop van Gewone Aandelen -0.899-0.792-40.89-10.453-6.797-56.088-29.364-70.378-36.838-0.524-0.547-3.658-0.0510-124.76-0.125-10.96000000
Uitgekeerde Dividenden 000-90.758-4.403-4.413-4.418-4.419-3.9280000000000-1,071.187-1.07100
Overige Financieringsactiviteiten 228.2574.6614.741-79.3-0.71838.533-1.92752.535109.742992.499151.0380.026227.3660.066249.660.185232.4616,639.93416.0951,067.401-13.218-0.636-2.981
Kasstroom uit Financieringsactiviteiten 113.0663.808448.851408.26-0.776-51.555-33.788-376.539-231.255453.0962.051-23.199-34.456-21.446-34.127-8.21223.86350.4818.6459.8521.928-0.6363.808
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000-0.2610.978-1.357-0.911-3.525-0.3130.025-0.0440.2150.447-0.4520.19000000
Netto Kasstroomverandering -12.193-118.447-49.934121.68349.306-89.23923.048-12.508-75.63661.41143.13212.679-18.07710.10421.793-6.014-5.32431.708-1.663-4.34713.9850.258-118.447
Kaspositie aan het Einde van de Periode 2.78214.975133.422183.35661.67312.36795.3172.26284.77160.40698.99555.86343.18461.26151.15729.36435.37940.7038.99410.65715.0041.01914.975