Myers Industries, Inc.

NYSE:MYE

11.71 (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 48.86760.26733.53836.76924.333-3.349-9.8891.05717.171-6.37126.00229.96224.505-42.8346.995-44.49354.736-69.02426.55625.7116.32623.9615.19124.00131.228.722.3211617.815.413.110.510.89.68.13.73.4
Afschrijvingen & Amortisatie 22.78621.21620.88520.9323.58326.12328.83834.46534.97930.77437.27233.00734.21433.5536.26840.34637.72728.21335.99739.17536.55535.71443.90542.82837.517.613.211.310.59.57.76.45.75.455.322.1
Uitgestelde Inkomstenbelasting 1.0392.0722.8268.732-0.922-9.45-5.663-0.243-1.703-3.342-4.3231.052-0.184-13.285-1.405-5.669-3.383-0.1012.158-0.0714.4154.5261.6320.9653.50.10.20.5-0.50.80.50.9-0.8-0.2-0.1000
Aandelen Gebaseerde Vergoedingen 6.6717.4363.1963.5341.7154.2573.6263.3574.9343.1150.8382.3752.5952.3262.6600000000000000000000000
Verandering in Werkkapitaal 5.747-19.664-12.746-12.958-2.6518.61812.598-12.784-1.30811.03333.857-4.066-2.548-5.426.7960.13151.44410.3093.572-16.865-6.1621.30516.073-0.456-14.8-40.41.8-3.3-5.1-10-72.4-1.80.8000
Vorderingen 2.656-23.625-15.273-11.58912.4794.927-6.7574.3114.8492.574-0.716-2.002-8.665-11.4497.38500000000000000000000000
Voorraden 2.637.955-24.885-7.8682.2223.151-1.8769.725.2710.801-1.585-2.780.4554.95810.8725.74313.1299.2131.91-24.9912.9760.7426.359-3.08-7.7-5.1-2.81.40.4-4.4-4.1-5.72.6-1.8-0.8000
Crediteuren 0.31-2.58528.088-20.687-20.930.71318.299-27.319-12.5346.91435.449-3.34100000000000000000000000000
Overig Werkkapitaal 0.151-1.409-0.67627.1863.578-0.1732.9320.5041.1060.7440.7094.0575.6621.0918.539-5.61238.3161.0961.6628.126-9.1370.5649.7132.624-7.11.13.20.4-3.7-0.7-5.9-1.3-0.201.6000
Overige Niet-Contante Posten 1.0621.294-2.785-10.58.26535.05314.9297.869-16.3413.8492.422-1.5785.5971.2811.02472.023-25.3740.555-1.049-1.52500000-0.10.10.10-0.10.10.60.10.11.7-13.4-5.7-5.5
Kasstroom uit Operationele Activiteiten 86.17272.62144.91446.50754.32361.25244.43933.72137.73239.05896.06860.75264.17245.63872.33861.94997.06980.94767.23346.42451.13465.50676.80167.33757.442.336.234.722.722.913.71418.915.31713.45.75.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -22.855-24.292-17.867-13.421-10.294-5.123-5.814-12.523-23.727-24.17-30.001-26.977-21.93-20.533-15.995-40.976-19.81-12.381-26.856-25.899-20.01-28.389-25.183-43.606-241.1-49.5-26.7-21.5-12-12.5-14.1-16.7-6.3-10.1-6.3000
Netto Overnames 0.098-27.626-35.758-63.334-182.63311.058-4.03470.762-156.62-0.6-16.043-1.1-0.411-1.1770-63.19800-41.492-0.776-2.82-7.48-17.5300000000000000
Aankoop van Beleggingen 00000000000000000000000000000000000000
Verkoop/verval van Beleggingen 00000000000000000000000000000000000000
Overige Investeringsactiviteiten 0.2581.5373.3361.2027.5372.6339.9510.4680.6812.1920.663.0360.9935.57119.1741.98568.911-0.9553.3681.7480.439-0.298-1.8080.042-0.30.3-0.5-0.9-16.8-2.6-1.5-6.8-0.9-0.6-1.1000
Kasstroom uit Investeringsactiviteiten -22.757-50.381-50.289-75.553-20.757-2.494.137-16.08947.715-168.598-29.941-39.984-22.037-15.3732.002-38.992-14.098-13.337-23.488-65.643-20.347-31.507-34.47-61.094-241.4-49.2-27.2-22.4-28.8-15.1-15.6-23.5-7.2-10.7-7.4000
Financieringsactiviteiten:
Schuldaflossingen -36.542-2.5-40.402-0.623-1.008-74.557-40.272-3.804-37.11-196.172-59.492-29.758-9.688-65.38-69.110000000000-38.5000000000000
Uitgifte van Gewone Aandelen 2.3382.323.7931.7323.33682.3754.5273.3742.9242.9265.8063.1220.7510.1380.2710.5231.3122.3241.3472.4741.012.2811.1650.8021.510.90.70.8017.60000000
Terugkoop van Gewone Aandelen -2.072-0.451-0.888-0.623-1.008-0.714-0.62-1.166-30.998-54.897-8.096-4.204-20.94644.9000000000-5.532-4-0.1-5.2-1.60-0.400000000
Uitgekeerde Dividenden -20.24-19.797-19.596-19.425-19.316-17.862-16.341-16.221-16.675-15.707-9.103-13.006-9.523-9.209-8.436-18.302-7.645-7.174-6.947-6.479-6.026-5.878-5.455-4.97-4.7-4-3.500000000000
Overige Financieringsactiviteiten -2.0721.43151.9050.6231.008-0.714-1.03-1.1022.962390.71410.09717.4470-1.169-47.361-103.038-49.964-24.77324.767-21.806-35.773-33.1444.54157.577.1-0.5-9.26.9-7.3-17.49.8-11-4.6-8.8000
Kasstroom uit Financieringsactiviteiten -56.516-16.317-5.188-18.316-16.988-10.758-53.736-17.753-81.821126.864-60.788-26.399-39.406-30.72-81.275-10.417-109.37-54.813-30.37320.762-26.823-39.371-37.434-5.16150.335.5-8.3-10.17.7-7.70.29.8-11-4.6-8.8000
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.252-0.439-0.0830.1360.055-0.289-0.2080.665-0.9580.813-2.7482.778-0.6330.4321.246-9.6820.2341.767-2.2320.80900000-34.9-6.3-5.6-3.4-1.8-1.7-3.5-3.20-2.4000
Netto Kasstroomverandering 7.1515.484-10.646-47.22616.63347.7150.1160.5442.668-1.8632.591-2.8532.096-0.023-5.6892.858-26.16514.56411.1412.3523.965-5.3734.8971.084-33.7-6.3-5.6-3.4-1.8-1.7-3.4-3.2-2.50-1.613.45.75.5
Kaspositie aan het Einde van de Periode 30.2923.13917.65528.30175.52758.8942.527.8887.3444.6766.5393.9486.8014.7054.72810.4177.55933.72419.1598.0195.6671.7027.0752.1781.1000000002.5013.45.75.5