National HealthCare Corporation

AMEX:NHC

75.56 (USD) • At close November 17, 2023
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 102.08666.79819.977139.08741.9967.97658.69955.68250.53853.14353.36964.61357.95764.07252.69540.04936.37145.44936.7428.63523.97219.95216.43713.210.2188.383-6.43729.321.115.937.69.517.7
Afschrijvingen & Amortisatie 41.98542.03440.48940.67242.01842.41941.89442.65239.02337.11434.38428.54729.79228.90127.14125.42924.8186.53612.71314.1512.43611.20711.14611.86514.44310.38512.114.913.215.413.61210.47.6
Uitgestelde Inkomstenbelasting 17.9415.7685.995-6.294-10.5934.0520.718-4.7144.791-0.648-1.434-2.4040.5581.993.5051.38-4.48910.693-1.72-2.317-1.161-3.494-1.844-0.72-0.7123.531-10.5-4.5000000
Aandelen Gebaseerde Vergoedingen 4.162.7822.6122.622.4531.8781.7781.6780.5091.9822.0212.2982.3662.7510.3211.1342.1500000000000000000
Verandering in Werkkapitaal -25.71717.396-73.697-40.738110.4033.952-4.001-6.723-10.553-24.305-22.1088.276-19.496-19.89-16.52919.7421.2858.473-0.38420.163-17.17617.58416.1979.20322.8629.09629.5-13.97.81.3-0.17-8.7-7.9
Vorderingen -26.441-8.559-3.8624.094.5294.299-9.398-9.492-4.403-11.835-5.215-13.778-7.2635.032-15.81715.97318.3500000000000000000
Voorraden -0.599-0.2981.4940.199-1.2490.029-0.3170.3550.06-0.4410.019-0.4860.7590.434-0.372-0.251-0.488-0.103-0.754-0.364-0.218-0.319-0.379-0.0510.718-0.803-0.3-0.4-0.5-0.10-0.1-0.10
Crediteuren 6.2992.236-5.53-2.0831.429-0.8563.467-2.615-1.5354.2512.8272.4950.831-1.113-0.352-2.90.39100000000000000000
Overig Werkkapitaal -4.97624.017-65.799-42.944105.6940.482.2475.029-4.675-16.28-19.73920.045-13.823-24.2430.0126.92-16.9688.5760.3720.527-16.95817.90316.5769.25422.1449.89929.8-13.58.31.4-0.17.1-8.6-7.9
Overige Niet-Contante Posten -33.152-23.56213.366-72.95316.988-20.174-0.6535.8916.5746.6779.4621.018-6.4842.83-4.729-2.584-3.254-8.562-5.8633.2082.2240.1586.6281.2345.4242.1970.20.11.72.12-23.9-0.4-0.3
Kasstroom uit Operationele Activiteiten 107.303111.2168.74262.394203.259100.10398.43594.46690.88273.96375.694102.34864.69380.65462.40485.1556.88145.93635.72963.83920.29545.40748.56434.78252.23533.59228.535.25239.931.432.710.817.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -27.6-27.901-30.2-39.399-21.873-26.4-29.772-32.347-62.601-58.416-53.298-43.438-22.003-23.597-32.838-44.064-42.66-17.764-37.401-18.408-22.741-24.425-12.821-5.344-6.724-22.004-24-34.8-70-29.4-9.6-30.6-14.7-33.4
Netto Overnames -215.896-2.74.425-29.063-0.203-15.8113.329-0.246-1.282-0.674-1.975-21-7.5-7.5-14.3420.3841.189-91.072.7951.41700000000000000
Aankoop van Beleggingen -35.057-34.363-33.793-108.187-84.854-12.471-13.311-31.244-48.62-60.54-62.165-93.155-111.691-58.247-93.305-26.351-6.2914.05-50.137-5.789-8.19000-7.253-17.997-4.30-14.600000
Verkoop/verval van Beleggingen 50.87747.39649.961101.9240.99444.54.53950.19734.64247.57448.78681.38962.64946.26645.1495.0175.1277.75747.1422.42400.47313.6777.2350000.61.92.40.13300
Overige Investeringsactiviteiten -9.01703.6298.842.058-4.0831.5534.08-3.6158.20911.14419.90447.3211.33248.98525.82931.518-21.923-4.6720.31822.3586.5172.192.32-36.8767.0413.4-17.518.38.6-33.7-45.7-20.7-20.8
Kasstroom uit Investeringsactiviteiten -236.693-17.568-5.978-65.889-63.878-14.265-33.662-9.56-81.476-63.847-57.508-56.3-31.225-31.746-46.351-39.185-11.117-118.95-42.273-20.038-8.573-17.4353.0464.211-50.853-32.96-24.9-51.7-64.4-18.4-43.2-43.3-35.4-54.2
Financieringsactiviteiten:
Schuldaflossingen 136.14-4.985-4.695-4.423-14.166-48.923-48.696-23.481-3.278106.911-2.43600-0.0950.021-50.29642.626-2.69-2.451-2.257-3.817-6.72-25.334-8.8818.413-8.894-3.638.222.7-4.429.82.421.59.7
Uitgifte van Gewone Aandelen 14.2680.3132.1143.4411.7562.3462.8652.52410.77210.6347.4290.99113.4128.3922.65515.3956.6635.9775.671.4263.0331.1671.4134.6390.3950.73412.31.40.80.800.50
Terugkoop van Gewone Aandelen -13.502-2.482-9.903-0.836-0.053-0.872-0.8670-8.195-130.538-6.995-4.700-5.9440000-6.721-4.379-0.25800-3.314000000000
Uitgekeerde Dividenden -36.964-35.56-34.604-32.03-31.921-31.208-29.827-28.237-25.795-30.075-27.374-26.14-39.52-24.623-23.453-22.181-19.879-9.769-8.1090000000-5.4-21-17.5-14.7-17.6-6.200
Overige Financieringsactiviteiten 0.4020.169-0.554-1.4162.495-1.091-0.7490.12-0.635-129.145-0.748-1.195-1.667-0.0520.1241.106-28.5231.1971.242-15.98-14.22-28.754-0.955-2.564-0.919-1.048-0.212.32.90.20.11.69.726.9
Kasstroom uit Financieringsactiviteiten 100.344-42.545-47.642-35.264-41.889-79.748-77.274-49.074-27.131-41.675-30.124-31.044-27.775-16.378-26.597-55.9760.8924.715-3.648-23.532-15.02-34.565-24.876-6.8064.575-9.208-8.231.89.5-18.113.1-2.231.736.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000-0.0010000-3.616.512.4-21.511.810.624.637.1
Netto Kasstroomverandering -29.04651.103-44.878-38.75997.4926.09-12.50135.832-17.725-31.559-11.93815.0045.69332.53-10.544-10.01146.654-48.299-10.19220.269-3.298-6.59426.73432.1875.957-8.576-8.231.89.5-18.113.1-2.231.736.6
Kaspositie aan het Einde van de Periode 96.922125.96874.865119.743158.50261.0154.9267.42131.58938.20869.76781.70566.70161.00828.47839.02249.0332.37950.67860.8740.60143.89968.93242.19810.0114.054933.714.3-16.713.210.837.643