Noble Corporation

NYSE:NE

29.47 (USD) • At close December 24, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 481.902168.948352.21-3,978.459-696.769-885.05-515.025-929.58499.792-152.011782.697522.344370.898773.4291,678.6421,560.9951,206.011731.866296.696146.086166.416209.503262.922165.55484.5162257.278.61.621.520.9-11.5-15.2-8.8-10.5
Afschrijvingen & Amortisatie 194.569141.527110.157374.129440.221486.53547.99611.067634.305627.473511.422440.621658.64539.829408.313356.658292.987253.325241.752209.123182.59154.469141.502110.7878971.777.952.236.539.520.517.719.914.414.2
Uitgestelde Inkomstenbelasting -98.093-25.628-31.763-26.325-17.825-68.416241.326-189.897-36.172-10.999-15.955-20.119-82.325-41.40936.86651.02620.5094.13736.2075.0224.37616.8756.06293.89321.1-1.148.86.6-0.43.4000.200
Aandelen Gebaseerde Vergoedingen 37.6835.25117.229.16914.73723.99329.11534.7239.17241.38936.6231.9331.90434.93000000000000000000000
Verandering in Werkkapitaal -55.07760.7445.44175.445-20.93349.907-21.23789.33123.54750.527-113.949-143.01-191.658364.058-38.3-67.092-148.284-20.796-25.545-40.57828.27853.483-17.118-64.88539.627.63.223.2-10.726-18.54.5-80.1-7.7
Vorderingen 023.34426.05880.682-9.16888.821114.456179.77970.16529.73-165.233-143.01-283.268343.844-48.83900000000000000000000
Voorraden 000-81.039-12.35268.18510.858-125.8314.018-31.84513.79665.13916.37519.951-19.70200000000000000000000
Crediteuren 0000.357-2.27914.95522.638-84.873-30.77163.54650.73128.565-12.502-43.93811.64600000000000000000000
Overig Werkkapitaal -55.07737.39619.38375.445-9.486-53.869-158.331-5.57684.153-42.74951.28480.04687.73744.20118.59500000000000000000000
Overige Niet-Contante Posten 13.356-99.853-275.6213,819.2381,373.9661,458.1641,159.7282,674.591,770.0952,424.888485.527418.728-28.475-16.46113.2-13.39543.1520.183-20.112.568-16.35211.0397.6784.94817.82.9-183.1-22.22.5-11.76.42.88.5-2.41.6
Kasstroom uit Operationele Activiteiten 574.337280.9856.168273.197186.771171.851453.8961,128.2821,762.3511,778.2081,702.3171,381.693758.9841,654.3762,136.7161,888.1921,414.373988.715529.01332.221365.308445.364451.046310.297252263.1204138.429.578.729.313.55.43.3-2.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -409.581-174.319-169.04-148.886-268.783-194.779-157.97-694.739-437.151-2,109.268-2,487.52-1,669.811-2,639.979-1,284.299-1,495.059-1,231.321-1,287.043-1,122.061-221.806-261.041-307.134-268.054-133.776-125.199-421.7-540.6-391.1-501.6-91.2-55.8-16.9-7.3-36.5-54.3-10.5
Netto Overnames 0166.607362.48827.366-93.9915.4022.38224.8084.6140000-1,629.6440010691.261-243.62600-185.4-6.09000000000000
Aankoop van Beleggingen 000000000000000000-24.973-233.216-146.12-93.982-43.068-18.86-4.900-2.20-2.1-13-24.4000
Verkoop/verval van Beleggingen 0000000000000000046.002112.628265.352122.58548.7797.74719.283016.52.9024.4000000
Overige Investeringsactiviteiten 43.073383.484307.51827.36612.7535.4022.38224.808-9.993-36.3832.413-121.07799.689-1,284.2990102.02853.1734.888-769.634-68.518-25.201-40.892-50.516-45.9760.5-26.1259.9117.21.922.6-149.313.44.50.314.9
Kasstroom uit Investeringsactiviteiten -366.508375.772193.448-121.52-362.774-189.377-155.588-669.931-432.537-2,109.268-2,485.107-1,790.888-2,540.29-2,913.943-1,495.059-1,129.293-1,223.873-349.91-1,147.411-297.423-355.87-539.549-225.703-170.752-426.1-550.2-128.3-386.6-64.9-35.3-179.2-18.3-32-544.4
Financieringsactiviteiten:
Schuldaflossingen -73.411-277.323-368.664108.868-66.092-222.708-300-81.349-396.8371,007.829918.849546.2231,326.5041,306.888-172.7138.90390.37-448.169626.483-77.933000000000000000
Uitgifte van Gewone Aandelen 000.73027.88800002.125009.92411.8285.0629.30438.99521.18676.03779.0729.43219.02514.94242.6044.31.85.8271.30.42.697.40000
Terugkoop van Gewone Aandelen -94.826-84.924-0.001-0.418-2.779-3.47-4.32-3.192-100.63-154.145-7.653-10.516-10.233-229.446-203.898-314.122-195.797-250.132-7.409-39.7140-33.966-76.197-50.590-4.3-52.20-2.4000-1.800
Uitgekeerde Dividenden -98.8040000-27.579-56.881-47.534-315.534-386.579-194.913-138.293-150.532-227.325000000000000000000000
Overige Financieringsactiviteiten -58.75-5.5250.73-1.4280-43.218-56.881-112.799-68.948-184.118-101.12740506.9680-47.9393.4677.477-21.82500-62.4849.985-161.869-99.13795.9448.3-175.2356.8-17.3-17152.4-47.733.992.43.9
Kasstroom uit Financieringsactiviteiten -325.791-367.772-367.935107.44-93.98-269.396-361.201-244.874-886.079285.112615.156452.0911,682.631861.945-419.475-406.646-91.152-698.94681.456-38.575-62.4849.985-161.869-99.13795.9448.3-175.2356.8-17.3-17152.4-47.733.992.43.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00113.9930000000000000000000000287.1-0.2-0.3-1.1-0.30.1-0.526.6-0.1-0.2
Netto Kasstroomverandering -117.962288.985-168.294259.117-269.311-287.597-62.893213.477443.735-45.948-167.63442.896-98.675-397.622222.182352.25399.348-60.13563.055-3.777-53.042-44.263.47440.408-78.2448.3-99.7108.3-53.826.12.6-5333.941.65.7
Kaspositie aan het Einde van de Periode 367.745485.707196.738365.041105.921375.232662.829725.722512.24568.51114.458282.092239.196337.871735.493513.311161.05861.71121.84558.79139.467192.509236.709173.235132.8498.249.9149.641.495.34.93.182.748.77.1