Nautilus, Inc.

NYSE:NLS

0.8204 (USD) • At close October 31, 2023
Overzicht | Financiële gegevens

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

2022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 17.36212.87256.58111.0738.12527.89347.87430.77845.20640.97923.20714.29614.2967.2895.5477.9114.2627.98419.26672.63431.71935.63977.18135.7030
Kortetermijnbeleggingen 0036.199025.39257.30331.74329.99826.98400000000085.319017.57816.07000
Liquide middelen en kortetermijnbeleggingen 17.36212.87292.7811.0763.51785.19679.61760.77672.1940.97923.20714.29614.2967.2895.5477.9114.2627.984104.58572.63449.29751.70977.18135.7030
Nettovorderingen 23.27863.45295.24555.07251.542.70248.68945.59426.3125.41621.76719.63320.92140.97765.724102.077140.175119.40498.09677.85450.09924.8584.9414.7444.744
Voorraad 46.599111.1951.1454.76868.46553.35447.0342.72924.89615.82418.78710.34710.34713.11943.80258.9175.83296.08449.10453.12963.79845.51612.6539.1680
Overige vlottende activa 8.03319.77219.1888.2837.987.248.026.8886.9876.9276.1264.5086.03110.78111.62875.4481.6776.11514.08810.6953.0676.1041.5422.6850
Totaal vlottende activa 96.222207.286259.692129.193191.462188.492183.356164.891142.75193.58769.88751.59551.59582.196127.259276.72250.761245.191265.873214.312174.104128.18796.31752.34.744
Niet-vlottende activa:
Materiële vaste activa, netto 51.86755.74943.80243.53322.21615.82717.46816.7649.6348.4996.1383.7953.7958.04232.88342.29152.65859.3246.3550.60255.56425.22816.66910.6450
Goodwill 024.510063.45262.0361.88860.472.522.742.942.9312.9312.7942.39832.74365.03764.40429.75529.75500000
Immateriële activa 6.7879.3049.3843.24355.2457.74369.873.35410.57512.61514.66618.77418.77420.83834.40337.91749.563105.0829.75529.75529.7550000
Goodwill en immateriële activa 6.78733.8149.3843.243118.692119.773131.688133.82413.09515.35517.60621.70521.70523.63236.80170.66114.6105.0829.75529.75529.7550000
Langetermijnbeleggingen 000-1.783-11.888-8.5580-8.90400-0.193-0.075-0.057-0.054-0.2660-5.722-7.235-4.661-4.64600000
Belastingvorderingen 0.5548.762.4261.78311.8888.5580.0118.9049.54625.7250.1930.0750.0570.0540.26605.7227.2354.6614.64600950.36300
Overige niet-vlottende activa 8.1028.4362.8174.510.5740.6840.5430.4330.6280.4010.681.2721.2721.3023.5731.1696.9233.69517.66317.26617.2340.49-946.2234.36524.373
Totaal niet-vlottende activa 67.31106.75958.42591.286141.482136.284149.71151.02132.90349.9824.42426.77226.77232.97673.257114.12174.181168.09593.76897.623102.54965.71820.80915.0124.373
Totaal activa 163.532314.045318.117220.479332.944324.776333.066315.912175.654143.56794.31178.36778.367115.172200.516390.84424.942413.286359.641311.935276.653193.904117.12667.3124.373
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 29.37853.16596.39974.25587.26566.89966.0261.74547.57437.19232.75324.53524.53537.10738.19843.99361.37561.13257.86134.87941.28825.25512.3365.8710
Kortlopende schulden 6.1916.8566.1233.7215.99315.99315.99315.9930003.5390017.9447947.75940.85421.72827.19500-2,092.61100
Belastingschulden 0.3280.8394.3093.6763.4272.9552.4034.1163.7252.5772.8123.6583.212.8662.06104.5513.8110.8038.488002,542.96700
Uitgestelde opbrengsten 5.0756.2856.4017.6338.3710.76412.89213.0270006.402000.55837.3182.2293.3272.9571.453002,092.61100
Overige kortlopende verplichtingen 13.39228.90820.6383.13.2133.7183.54.75312.09710.73311.7241.80311.74419.09331.39119.07535.99532.90713.77812.07423.79318.56611.4628.220
Totaal kortlopende verplichtingen 54.03695.214129.56188.708114.84197.37498.40595.51859.67147.92544.47736.27936.27956.288.091179.386147.358138.2296.32475.60165.08143.82123.79714.0910
Langlopende verplichtingen:
Langetermijnschulden 42.94648.43429.44633.05315.99331.98647.97963.9710005.5375.1412.866004.15800000000
Uitgestelde opbrengsten niet-vlottend 00043.13975.3772.9552.4034.1160003.213.21000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.253001.78311.8888.55816.99118.389.54625.7251.4841.0081.0080.7543.4765.12316.79216.9911.08110.2069.1492.670.4620.1870
Overige niet-vlottende verplichtingen 4.9976.3485.915-36.8-67.7514.7146.4316.936-4.635-21.6485.0241.5341.932.8695.2649.87705.610.2000006.722
Totaal niet-vlottende verplichtingen 48.19654.78235.36141.17535.50748.21373.80493.4034.9114.0776.50811.28911.2896.4898.741520.9522.611.28110.2069.1492.670.4620.1876.722
Totaal passiva 102.232149.996164.922129.883150.348145.587172.209188.92164.58252.00250.98547.56847.56862.68996.831194.386168.308160.82107.60585.80774.2346.4924.25914.2796.722
Eigen vermogen:
Preferente aandelen 0000000000000000000000000
Gewone aandelen 10.0846.4833.0611.2610.21500.5780.7968.0336.7696.1035.365.0514.4143.20701.0263.54910.6822.82804.916.81218.6020
Ingehouden winsten 52.694158.093150.1290.272183.29179.448161.496127.522103.34784.55236.59819.71518.29541.13694.433185.021251.418248.123238.474221.58201.238142.63776.05434.4280
Overige gereserveerde algehele resultaten -1.478-0.5270.014-0.937-0.909-0.259-1.217-1.327-0.3080.2440.6256.8787.4536.9336.0457.0874.190.7942.881.721.185-0.123-3.612-1.10
Overige totale aandeelhoudersvermogen 000000000005.365.0514.4143.2074.3461.026000003.6121.117.651
Totaal eigen vermogen van aandeelhouders 61.3164.049153.19590.596182.596179.189160.857126.991111.07291.56543.32630.79930.79952.483103.685196.454256.634252.466252.036226.128202.423147.41492.86753.03117.651
Totaal eigen vermogen 61.3164.049153.19590.596182.596179.189160.857126.991111.07291.56543.32630.79930.79952.483103.685196.454256.634252.466252.036226.128202.423147.41492.86753.03117.651
Totaal passiva en aandeelhoudersvermogen 163.532314.045318.117220.479332.944324.776333.066315.912175.654143.56794.31178.36778.367115.172200.516390.84424.942413.286359.641311.935276.653193.904117.12667.3124.373