Vail Resorts, Inc.

NYSE:MTN

166.62 (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 246.279285.103368.337124.457109.055323.493401.23231.718149.454114.6128.20637.6116.39134.42235.77548.95102.92761.39745.75623.138-5.959-8.5277.56513.63115.33812.79119.74.74.7
Afschrijvingen & Amortisatie 276.493268.501252.391252.585249.572218.117204.462189.157161.488149.123140.601132.688127.581117.957110.638107.21393.79487.66486.09889.96887.45185.03168.41365.47861.43553.2563418.118.1
Uitgestelde Inkomstenbelasting 12.09524.065-9.39-16.13617.43522.419-45.7736.4377.62612.9686.219-8.1259.24332.194-4.42730.7672.98-3.9681.322-7.514-1.0184.275-2.7155.797.8898.0037.42.52.5
Aandelen Gebaseerde Vergoedingen 26.80325.40924.88524.39521.02119.85619.0418.31517.02515.75314.22412.34911.99912.49311.84310.74106.9986.52300.251.3451.4030.36100.358000
Verandering in Werkkapitaal -24.732-17.73494.478127.405-23.34750.828-29.574-16.68378.948.17518.55429.608-8.666-99.408-147.08-163.59-197.591-123.98523.15555.24251.62517.27424.3417.9091.2625.74-10.6-53.24.7
Vorderingen 12.8874.248-39.01-237.188167.347-35.406-44.261-36.291-32.991-15.35-17.007-11.715-2.577-1.6385.687-7.8330-4.496-2.644-3.6657.254-0.083-4.59413.6750-5.728-4.6-0.60
Voorraden 13.19-23.418-28.04822.781-1.924-7.274-0.9638.086-0.843-1.3041.332-0.105-10.853-2.7580.6520.761-1.643-5.171-4.811-5.0740.6050.57-2.711-2.799-1.287-6.554-0.8-0.4-0.4
Crediteuren 9.369-7.50941.078118.979-82.39423.2961.879-14.17742.3674.49820.72419.774-2.515-23.223-12.547-19.568030.69126.21326.44336.5144.578-11.62915.862024.3990.600
Overig Werkkapitaal -17.3848.945120.458222.833-106.37670.21213.77125.69970.40720.33113.50521.6547.279-71.789-140.872-136.95-195.948-145.0094.39737.5387.25212.20943.274-8.8292.549-6.377-5.8-52.25.1
Overige Niet-Contante Posten 40.20354.219-20.20212.54421.214-0.4822.237-2.0312.2293.03138.07418.29328.871169.62929.201100.195217.23490.33630.55-2.99653.01655.17232.6684.57825.722.4620.194.333.8
Kasstroom uit Operationele Activiteiten 586.774639.563710.499525.25394.95634.231551.625456.914426.762303.66245.878222.423185.419267.28735.95134.276216.996118.442193.404220.341185.365154.57131.674107.747111.624102.61103.466.466.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -211.197-314.912-192.817-115.097-172.334-192.035-140.611-144.432-109.237-123.884-118.305-94.946-132.625-95.64-68.957-106.491-150.892-119.232-88.901-79.975-62.96-106.338-76.234-57.814-77.656-65.168-107.9-13.9-54.5
Netto Overnames -94.35675.939-230.7510-327.555-419.044-1.356-553.22-20.245-307.0510-19.958-23.479-62.344-15.87-38.1703.54430.712000-164.77-19.4740-101.276000
Aankoop van Beleggingen 0-86.75600000000000000000000000-37.9800-0.2
Verkoop/verval van Beleggingen 57.64737.97800000.5157.9927.386000000000000000002.500
Overige Investeringsactiviteiten 6.514.58475.65111.7687.1515.0457.38814.8165.4663.8670.3996.6660.15-0.2041.2750.0362.757-16.458-133.53235.094-20.405-24.385-63.889-30.14-38.3470-146.4-40.80
Kasstroom uit Investeringsactiviteiten -241.069-273.167-347.917-103.329-492.739-596.034-134.579-682.836-124.016-427.068-117.906-108.238-155.954-158.188-83.552-144.625-148.135-132.146-191.721-44.881-83.365-130.723-304.893-107.428-116.003-204.424-251.8-54.7-54.7
Financieringsactiviteiten:
Schuldaflossingen -55.859-73.889-146.633-494.618-1,015.907-280.685-274.441-267.014-329.641-510.222-175.998-97.011-57.052-616.861-106.309-141.03900000-0.307000-302.47000
Uitgifte van Gewone Aandelen -5.625-5.486-37.3-39.091,702.259570.143271.513686.292210000560001.99411.49646.64921.9390.5620.4980.1514.3240.314098.200
Terugkoop van Gewone Aandelen -150-500-112.306-39.09-46.422-85-25.8-0.21-53.787000-30.3650-14.999-22.367-99.615-15.007-10.83900-24.4940000800
Uitgekeerde Dividenden -323.684-314.35-225.7860-212.732-260.567-204.161-146.235-103.835-75.506-45.021-28.362-24.249-5.4110000000-0.9260000000
Overige Financieringsactiviteiten -45.245-27.469-8.411-20.866-50.965-43.449-117.826-0.9416.046700.979-1.193103.5832.144568.571114.35780.708-39.71456.2417.721-107.147-64.108-3.854177.493-4.779-5.416409.2244.8-46.5-46.5
Kasstroom uit Financieringsactiviteiten -574.788-915.708-493.136434.662376.233-99.558-350.715271.892-271.217115.251-222.212-21.79-53.522-53.701-6.951-82.698-137.33552.72953.531-85.208-63.546-29.083177.644-0.455-5.102106.75151-46.5-46.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -6.947-3.702-1.913-0.0955.253-5.29-5.5753.5220.909-0.790.0420.156-0.0330000000000000-1.400
Netto Kasstroomverandering -236.03-553.014-132.467856.488283.697-66.65160.75649.49232.438-8.947-94.19892.551-24.0955.398-54.553-93.047-68.47439.02555.21490.25238.454-5.2364.425-0.136-9.4814.9361.2-34.8-34.8
Kaspositie aan het Einde van de Periode 337.063573.0931,126.1071,258.574402.086118.389178.145117.38967.89735.45944.406138.60446.05370.14314.74569.298162.345230.819191.794136.5846.3287.87413.118.6858.82118.30213.312.712.7