Meritage Homes Corporation

NYSE:MTH

180.85 (USD) • At close November 12, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 738.748992.192737.444423.475249.663227.332143.255149.541128.738142.241124.464105.163-21.1067.15-66.456-291.935-288.851225.354255.665138.96894.40669.93750.65935.76218.94524.00314.2370.31.1-4.5-25.9-19.1810.8
Afschrijvingen & Amortisatie 25.33424.74826.24531.05227.92326.96616.70415.97814.24111.6149.9348.1967.1787.9748.84315.66917.81823.72917.20713.2338.5366.785.7413.4072.5281.6370.4320000000
Uitgestelde Inkomstenbelasting 1.328018.482-0.9027.128-2.74119.6870.956-2.043-2.297-8.666-77.97422.49-4.861124.832118.563-112.295-48.984-5.9650.6091.497-0.089-2.0690.1566.2364.96900000000
Aandelen Gebaseerde Vergoedingen 22.51122.33320.06919.99519.60717.1712.05613.74115.78112.2119.4838.3197.415.3586.2045.5068.96611.5450000000000000000
Verandering in Werkkapitaal -436.464-644.673-951.42142.33433.226-22.183-284.061-291.074-171.473-386.357-241.346-298.361-69.00213.476120.04165.873-183.777-299.7-207.909-92.82353.13-3.563-0.29411.12710.2516.7725.6980.50.2-0.2-0.30.1-20.6
Vorderingen -64.169-102.95-65.114-88.942-42.6543.042-17.775-17.513-7.083-25.032-18.429-6.3010000000000000000000000
Voorraden -357.408-624.522-948.055-40.0893.621-19.426-301.477-311.426-209.407-338.594-281.944-299.1850000000000000000000000
Crediteuren 22.60976.985948.05588.94242.654-0.3768.12543.37731.88314.68886.60429.385-21.725-21.725-24.213-118.237-139.945-55.678208.96863.16954.6860000000000000
Overig Werkkapitaal -37.4965.814-886.30782.42329.605-5.42327.066-5.51213.134-37.419-27.577-22.26-47.27735.201144.254184.11-43.832-244.022-416.877-155.992-1.556-3.563-0.29411.12710.2516.7725.6980000000
Overige Niet-Contante Posten 4.11510.67-2.91114.4069.27315.6565.2277.45611.42111.3419.85534.17-21.1063.454-9.39286.153537.52666.09213.2450.184-214.463-78.901-73.884-44.2-74.348-42.577-13.6921.603.722.737.76.71.2
Kasstroom uit Operationele Activiteiten 355.572405.27-152.092530.36346.82262.2-87.132-103.402-3.335-211.248-86.276-220.487-74.13632.551184.074199.829-20.613-21.96472.24360.171-56.894-5.836-19.8476.252-36.387-5.1966.6762.41.3-1-3.518.712.712.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -38.192-26.971-25.664-19.932-24.385-33.415-18.096-16.662-16.092-20.788-15.783-10.863-7.082-6.389-3.609-9.693-13.349-25.85-25.279-15.113-17.133-8.285-7.27-3.017-2.935-1.569-0.1740000000
Netto Overnames -5.991-5.796-1.708-0.005-1.113-0.808-0.67-7.244-0.481-131.192-18.624-0.4077.784-243.8010000-152.425-24.1650-129.582-65.759-5.158-6.967-6.915-1.9530000000
Aankoop van Beleggingen -0.75-1.032-2.795-2.489-0.754-1.181-1.402-0.746-1.555-35.813-166.619-136.823-197.103-424.639-125.6990-28.624-51.9090000000000-900000
Verkoop/verval van Beleggingen 0.751.0322.7952.4890.7541.1811.4020.7461.555124.599163.012198.201348.105250.190000000000004.6964.39.100000
Overige Investeringsactiviteiten 0.560.4810.5511.70312.0090.6961.6943.80.0860.32739.045-26.264-10.522250.124-16.111-13.5732.29620.039-69.723-42.526-12.087-4.9380007.3858.50313.7-0.6-0.116.7226.3109.418.2
Kasstroom uit Investeringsactiviteiten -43.623-32.286-26.821-18.234-13.489-33.527-17.072-20.106-16.487-62.8671.03123.844141.182-174.515-145.419-23.263-9.677-57.72-247.427-81.804-29.22-142.805-73.029-8.175-9.902-1.09811.07318-0.5-0.116.7226.3109.418.2
Financieringsactiviteiten:
Schuldaflossingen 0000000000000000000000000000000000
Uitgifte van Gewone Aandelen 00000000.2320110.42087.1132.6130082.7721.89213.53576.74.1192.54582.7122.551.7970.4950.5140.119000000.60.1
Terugkoop van Gewone Aandelen -59.067-109.303-60.992-69.592-16.035-100000000000-0.0110-105.384-14.405-35.42-5.18-17.15-0.207-9.114-1.902000000000
Uitgekeerde Dividenden -39.5340000000000000000000000000-0.194-0.3-0.2-0.30-7.9-22.9-4.8
Overige Financieringsactiviteiten -150.8840443.898-85.971-325.331202.802280.90914.276201.9233.339291.746421.455-3.414194.1294.753-81.081-0.635162.4316,554.2254,253.9692,952.87286.29689.5190.21548.7329.922-24.996-7.8-4-8.2-11.1-229.8-97.6-27.9
Kasstroom uit Financieringsactiviteiten -252.283-129.75851.627-85.971-325.331-87.953143.248-6.998178.697103.312188.924193.4882.613-3.4144.7531.681.25770.582193.1264.7184.313151.85891.862-7.10247.32410.435-25.071-8.1-4.2-8.5-11.1-237.7-119.9-32.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000000000
Netto Kasstroomverandering 59.666243.226-127.286426.1558140.7239.044-130.506158.875-170.803103.679-3.15569.659-145.37843.408178.246-29.033-9.10217.93643.077-1.8013.217-1.014-9.0251.0354.141-7.32312.3-3.4-9.62.17.32.2-1.8
Kaspositie aan het Einde van de Periode 921.227861.561618.335745.621319.466311.466170.746131.702262.208103.333274.136170.457173.612103.953249.331205.92327.67756.7165.81247.8764.7996.63.3834.39713.42212.3878.24515.63.36.616.314.16.74.5