Nelnet, Inc.

NYSE:NNI

105.17 (USD) • At close January 14, 2025
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Operationele Activiteiten:
Nettowinst 54.435396.241386.283349.626141.294227.524161.821257.501268.264309.281304.341178.428204.335189.034139.12526.84435.42968.155181.122149.17927.10348.538
Afschrijvingen & Amortisatie 145.393176.248132.325198.473192.662184.682137.823122.547123.736107.96979.484116.78172.55791.244116.038141.605261.385169.066109.07796.725101.37593.864
Uitgestelde Inkomstenbelasting -51.96334.6455.6227.974-7.26510.981-1.54427.0057.04919.6592.539-23.829-7.7264.273-19.057-9.468-24.979-6.3846.50711.781-3.197-8.475
Aandelen Gebaseerde Vergoedingen 17.914.17610.67316.7396.7816.5394.4164.3485.3474.6993.3293.022.0292.282.6447.326.6862.4951.81000
Verandering in Werkkapitaal 134.159-4.58924.206-77.797-27.494-191.357-83.68514.391-6.002-3.25315.47312.6545.032-29.39992.82564.597-93.982-88.203-89.951-24.78210.134-5.507
Vorderingen 0-26.358-86.98240.88-110.535-245.81-51.2490.015-2.75811.89515.9070.89918.180.59142.61128.44-96.583-125.593-3.395000
Voorraden 00033.9990562.758300.373349.53-8.736-20.5294.78218.366-5.06613.925-368.5751.608343.977470.8960000
Crediteuren 031.48340.404-154.86953.68471.0284.36214.175.1173.009-0.433-4.864-0.538-0.678-61.745-47.879.23525.930000
Overig Werkkapitaal 134.159-9.71470.7842.19329.357-579.333-337.171-349.3240.3752.372-4.783-1.747-7.544-43.236380.535-17.581-350.611-459.436-86.556-24.78200
Overige Niet-Contante Posten 133.05167.34316.36-282.2-7.06332.5238.677-100.535-7.029-80.906-17.98612.26434.635-62.564-6.86990.20588.52170.109-89.45711.21617.5845.79
Kasstroom uit Operationele Activiteiten 432.975684.059544.867212.815298.915270.892227.508325.257391.365357.449387.18299.318310.862194.868324.706321.103273.06215.242159.108241.082152.999134.21
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -74.052-59.421-58.952-113.312-92.499-125.023-156.005-67.602-16.761-26.488-17.01-9.944-14.167-12.77-1.204-5.141-20.061-51.945-19.195-16.456-16.361-13.408
Netto Overnames 0-34.0360-29.9890-12.5624.5113,431.388-46.966-46.833502.793-557.174-14.029-30-20.98822.724-100.531-225.991-17.876-1.76-20.809
Aankoop van Beleggingen -938.865-1,293.024-996.911-639.726-104.26-113.464-157.862-117.034-194.424-238.923-240.196-190.255.767-43.2360-2.988-471.347-765.817-878.089-954.489-449.95913.408
Verkoop/verval van Beleggingen 1,009.005579.993393.399231.00870.57794.454168.085160.15125.557241.793103.25165.8541,374.347-59.02676.4481,159.068515.252797.164999.439853.348442.61267.089
Overige Investeringsactiviteiten 1,941.9943,078.5151,848.3991,173.2381,650.748-575.7563,411.361-147.4871,549.956-39.057147.743-201.1487.905-43.2651,738.361-70.025-2,515.529-3,796.73-6,394.96-2,947.524-2,040.372-1,884.057
Kasstroom uit Investeringsactiviteiten 1,938.0822,272.0271,185.935621.2191,524.566-732.3513,270.093,259.4151,417.362-109.508496.58-792.6541,439.823-161.2971,813.6051,059.926-2,468.961-3,917.859-6,518.796-3,082.997-2,065.842-1,637.777
Financieringsactiviteiten:
Schuldaflossingen -2,844.978-3,037.61-1,736.211-1,244.796-1,715.312809.459-3,418.666-3,483.981-1,764.747-130.425-854.034622.851-1,947.561-14.822-1,986.605-1,289.6192,320.6143,785.5466,444.1152,698.721,918.9891,521.705
Uitgifte van Gewone Aandelen 1.781.6331.4651.6531.5521.3590.6780.8890.8010.6560.5610.480.5120.5280.4490.711.4671.6450.9610.31200
Terugkoop van Gewone Aandelen -28.028-97.685-58.111-73.358-40.411-45.331-68.896-69.091-96.169-15.713-13.136-22.814-27.134-39.805-0.43-1.536-76.648-62.3890000
Uitgekeerde Dividenden -39.419-36.608-34.457-31.778-29.485-26.839-24.097-21.188-19.025-18.542-18.569-66.237-17.763-34.131-3.492-3.458-13.8170000-2.994
Overige Financieringsactiviteiten 207.447377.771396.966113.754-9.615-26.86410.481-5.1763.461-16.703-1.346-17.4830.030.2790.101-9.025-30.603-19.907-22.002-15.375-11.739-11.429
Kasstroom uit Financieringsactiviteiten -2,703.198-2,792.499-1,494.887-1,098.24-1,793.271711.784-3,500.5-3,578.547-1,875.679-180.727-886.524516.797-1,991.916-87.951-1,989.977-1,302.9282,201.0133,704.8956,423.0742,683.6572,071.1111,507.282
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.016-0.16-0.12100000000000000.5480.1580.275-0.17600
Netto Kasstroomverandering -332.125163.427235.794-264.20630.21250.325-2.9026.125-66.95267.214-2.76423.461-241.231-54.38148.33478.1015.662.43663.661-158.434158.2683.715
Kaspositie aan het Einde van de Periode 1,025.4911,357.6161,194.189958.3951,222.6011,192.39166.75269.65463.529130.48163.26766.03142.57283.801338.181189.847111.746106.086103.6539.989198.42340.155