Marine Products Corporation

NYSE:MPX

9.43 (USD) • At close November 4, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 41.69540.34729.02619.44428.23928.48819.316.74514.3068.9147.5286.9796.7313.853-10.6937.58616.42320.31426.22323.74318.07212.3898.56313.9619.1187.674
Afschrijvingen & Amortisatie 2.4161.9051.8161.9542.091.821.5261.3821.0130.7120.7260.7680.8891.0811.3541.6941.952.133.0182.5322.3062.0792.2671.81.5450
Uitgestelde Inkomstenbelasting -3.126-1.798-0.14-0.311-0.620.3781.519-0.8621.309-0.8050.078-0.498-0.076-0.132-0.8540.4310.331-0.737-1.97-0.7841.029-0.2470.460.255-0.1660
Aandelen Gebaseerde Vergoedingen 3.7112.7072.2893.1022.1232.0892.6822.6241.9931.7541.7021.4951.2961.5421.64500000000000
Verandering in Werkkapitaal 13.6795.007-32.5345.0692.09-10.2134.195-4.941-3.368-0.818-0.003-0.183-3.4424.572-0.023.53-3.3661.072-7.9053.914-3.579-2.525-1.059-0.552-1.1210
Vorderingen 2.865-2.0781.4441.901-2.735-0.821-1.9640.1691.113-0.348-0.2270.415-1.0310.0874.3100000000000
Voorraden 11.4040.246-30.951-0.7575.217-8.7644.482-9.85-3.8190.04-0.7-3.252-3.025-2.3952.96610.706-3.603-2.7-0.987-4.099-1.085-6.2070.698-1.361-3.0150
Crediteuren -2.1791.4790.6922.193-0.787-0.6890.1991.4820.104-1.9921.3231.2541.108-0.0880.53500000000000
Overig Werkkapitaal 1.5895.36-3.7191.7320.3950.0611.4783.258-0.7661.482-0.3991.4-0.4946.968-7.831-7.1760.2373.772-6.9188.013-2.4943.682-1.7570.8091.8940
Overige Niet-Contante Posten -1.5291.1835.3120.616-0.0050.2130.4170.8890.791-0.311-0.151-0.379-2.102-0.037-0.4680.8181.0931.218000000-0.1410.708
Kasstroom uit Operationele Activiteiten 56.84649.3480.45729.87433.91722.77529.63915.83716.0449.4469.888.1823.29610.879-9.03614.04516.43123.99719.36629.40517.82811.69610.23115.4649.2358.382
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10.174-2.5-1.248-2.099-2.334-2.154-2.41-1.94-3.878-0.451-0.521-0.354-0.357-0.191-0.085-0.329-1.263-1.667-1.118-2.838-3.707-3.8-5.456-4.198-1.81-2.192
Netto Overnames 2.303000.0342.3342.154-4.82-3.883.8780.4510.5210.3540.357-1.858-1.7520000000-1.037000
Aankoop van Beleggingen 0000-0.299-16.209-22.214-28.092-16.276-23.664-14.339-34.082-39.777-29.147-14.858-47.964-72.5750-0.9050-0.7250-13.259000
Verkoop/verval van Beleggingen 00007.97821.42318.06752.51917.65920.08514.57651.24724.90425.57922.34446.02432.4372.90500.91406.660000
Overige Investeringsactiviteiten 2.303-2.500.034-2.334-2.1544.8283.968-3.8720.632-0.506-0.3543.3141.8991.7670.0140.010.1130-5.9190013.83300.1450
Kasstroom uit Investeringsactiviteiten -7.871-2.5-1.248-2.0655.3453.06-6.54922.575-2.489-2.947-0.26916.811-11.559-3.7187.416-2.255-41.3911.351-2.023-1.924-4.4322.86-5.919-4.198-1.665-2.192
Financieringsactiviteiten:
Schuldaflossingen 00000000000-0.3750000000-0.456000000
Uitgifte van Gewone Aandelen 000000000000.4670000.0380.1350.1780.3440.7680.5760.3630.017000
Terugkoop van Gewone Aandelen -0.91-0.702-1.051-2.49-8.447-7.522-6.521-34.737-2.259-1.781-0.576-0.96-0.447-0.244-0.537-1.619-17.818-1.337-20.627-3.768-2.271-1.222-0.065000
Uitgekeerde Dividenden -19.284-17.077-15.629-13.55-19.756-17.252-11.504-9.202-7.638-6.102-5.705-23.812-0-0-0.369-9.442-9.011-7.631-6.073-4.11-2.737-1.37-1.022000
Overige Financieringsactiviteiten -20.194-17.779-1.051-2.49-8.447-24.774-18.0250.160.2560.3420.1360.3790.1310.0450.4770.6220.4310.29600.456000.614-13.6-7.6190
Kasstroom uit Financieringsactiviteiten -20.194-17.779-16.68-16.04-28.203-24.774-18.025-43.779-9.641-7.541-6.145-24.301-0.316-0.199-0.429-10.401-26.263-8.494-26.356-7.11-4.432-2.229-0.456-13.6-7.6190
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000
Netto Kasstroomverandering 28.78129.069-17.47111.76911.0591.0615.065-5.3673.914-1.0423.4660.692-8.5796.962-2.0491.389-51.22316.854-9.01320.3718.96412.3273.856-2.334-0.0496.19
Kaspositie aan het Einde van de Periode 71.95243.17114.10231.57319.8048.7457.6842.6197.9864.0725.1141.6480.9569.5352.5734.6223.23354.45637.60246.61526.24417.284.9531.0973.4316.19