Newpark Resources, Inc.

NYSE:NR

7.25 (USD) • At close December 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 38.59423.18224.08824.19748.67256.11856.35287.878107.13885.05265.8446.84625.24783.0111.5348.2525.74113.2187.9897.0224.6922.7257.50431.2454.5176.620.71.911.41.20.62.30.50
Kortetermijnbeleggingen 00000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 38.59423.18224.08824.19748.67256.11856.35287.878107.13885.05265.8446.84625.24783.0111.5348.2525.74113.2187.9897.0224.6922.7257.50431.2454.5176.620.71.911.41.20.62.30.50
Nettovorderingen 168.457242.247194.296141.045216.714254.394265.866214.307206.364318.6268.529323.439328.59196.799122.386211.366141.949156.221149.37107.908105.376100.96489.26975.77654.61265.773.443.539.221.518.419.614.411.57.9
Voorraad 141.079149.571155.341147.857196.897196.896165.336143.612163.657196.556189.68209.734175.929123.028115.495149.304120.202111.7486.29984.04474.84655.47344.14424.99817.52419.421.16.1127.17.13.23.73.22.3
Overige vlottende activa 9.09410.96614.78715.08116.52615.90417.48317.14329.21912.61535.39135.18424.05237.6919.19733.871127.198137.54229.67925.77625.23721.13313.40320.24522.17427.65.710.64.11.52.30.80.80.90.9
Totaal vlottende activa 357.224425.966388.512328.18478.809523.312505.037462.94506.378623.836559.44604.056553.818440.527268.612402.793395.09319.718275.784224.75210.151180.295154.32152.26498.827119.3120.962.156.331.52924.221.216.111.1
Niet-vlottende activa:
Materiële vaste activa, netto 216.02216.868287.825308.665342.418316.293315.32303.654307.632283.361279.342253.99231.055212.655224.625226.627159.094227.962239.774210.514206.238204.703208.476184.755166.603218188.8113.985.567.650.642.51910.56.9
Goodwill 47.28347.1147.28342.44442.33243.83243.6219.99519.00991.89394.06487.38871.9762.30762.27660.26862.61655.143116.841117.414115.869110.727105.767000000000000
Immateriële activa 17.11420.21524.95925.42829.67725.1630.0046.06711.05115.66629.24441.01820.8513.07216.03718.9418.47411.623135.04132.769130.816126.51312.437111.487116.465123.597.583.54.34.44.54.34.32.72.8
Goodwill en immateriële activa 64.39767.32572.24267.87272.00968.99273.62426.06230.06107.559123.308128.40692.8275.37978.31379.20881.0966.766135.04132.769130.816126.513118.204111.487116.465123.597.583.54.34.44.54.34.32.72.8
Langetermijnbeleggingen 0000000000-11.2720-13.224-0.7310000-16.2310000000000000000
Belastingvorderingen 2.6282.2752.3161.7063.64.5164.7531.7471.821011.272013.2240.73100.7070.4085.34816.2314.0638.7788.9519.609000000000000
Overige niet-vlottende activa 2.0672.4411.9912.7693.2432.7413.9823.783.0025.3666.3278.0899.1448.78113.5644.3446.0977.8757.30118.01819.51721.79521.87958.93768.29643.739.4236.67.36.24.5910.410.9
Totaal niet-vlottende activa 285.112288.909364.374381.012421.27392.542397.679335.243342.515396.286408.977390.485333.019296.815316.502310.886246.689307.951382.115365.364365.349361.961368.168355.179351.364385.2325.7220.496.479.361.351.332.323.620.6
Totaal activa 642.336714.875752.886709.192900.079915.854902.716798.183848.8931,020.122968.417994.541886.837737.342585.114713.679641.779627.669657.899590.114575.5542.256522.488507.443450.191504.5446.6282.5152.7110.890.375.553.539.731.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 70.08793.63384.58549.25279.77790.60788.64865.28172.211108.24288.586109.11797.16866.31662.99289.01862.50537.08747.37138.82240.47935.56826.58825.81629.23216.43219.310.811.755.35.45.860
Kortlopende schulden 022.438067.4726.3352.5221.51883.3687.38211.64812.8672.5992.2321.60617.2221.69318.86215.14623.58613.04813.8693.2583.3550.3291.6181.31.39.97.91014.912.21.421.818.4
Belastingschulden 0000000001.1520000059.3460000000000000000000
Uitgestelde opbrengsten 000000000041.9270000020.36742.80900018.4140000000000000
Overige kortlopende verplichtingen 66.19746.87165.80736.93442.7548.79768.24831.15245.83552.1952.29847.8847.44343.23425.29-20.430.82349.76239.80326.87521.89425.03521.01816.06919.73325.66810.111.34.62.93.41.71.92.27
Totaal kortlopende verplichtingen 136.284162.942150.392153.658128.862141.926158.414179.801125.428173.232153.752159.596146.843111.156105.502149.657112.19101.995110.7678.74576.24263.86150.96142.21450.58343.430.73224.217.923.619.39.13025.4
Langlopende verplichtingen:
Langetermijnschulden 92.925111.493140.29744.758180.484159.225158.95772.9171.211170.462172.786256.832189.876172.987105.81166.461158.616198.186185.933186.286183.6172.972176.954203.52209.21208.1127.234.646.728.912.410.43.82.10.2
Uitgestelde opbrengsten niet-vlottend -17.4040000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 8.3078.12111.81913.36834.24737.48631.5838.74326.36837.69439.50946.34846.84431.5492.08315.9795.92308.031000000017.610.14000000
Overige niet-vlottende verplichtingen -10.5449.291-12.0089.3767.8417.5366.2856.1965.62750.9760.82618.1875.4284.3033.6973.74.3864.3452.7372.1181.69700.6191.6544.05910.51.32.60.30.30.90.10.40.40.5
Totaal niet-vlottende verplichtingen 90.688128.905140.10867.502222.572204.247196.822117.839203.206221.432233.611321.367242.148208.839111.59186.14168.925202.531196.701188.404185.297172.972177.573205.174213.269218.6146.147.35129.213.310.54.22.50.7
Totaal passiva 226.972291.847290.5221.16351.434346.173355.236297.64328.634394.664387.363480.963388.991319.995217.092335.797281.115304.526307.461267.149261.539236.833228.534247.388263.852262176.879.375.247.136.929.813.332.526.1
Eigen vermogen:
Preferente aandelen 0000000.2190.2080.27600.48400.2110.4190.36500.0120.060.619203041.87573.9773.52113.0090000000000
Gewone aandelen 1.1171.1151.0931.0761.0671.0641.0460.9980.9940.9920.980.9570.9450.9310.9170.9110.9020.8970.8840.840.8110.7770.7030.6960.690000000000
Ingehouden winsten 10.7732.48924.34550.937134.119148.802123.375129.873171.788262.616160.33895.01534.983-45.034-86.66-66.087-104.545-130.457-86.22-107.85-111.868-112.362-112.864-140.866-146.496-77-14.2-48.7-67.1-70.7-80-82.5-87.8-90.2-91.8
Overige gereserveerde algehele resultaten -62.839-67.186-61.48-54.172-67.947-67.673-53.219-63.208-58.276-31.992-9.484-0.7340.7898.5818.6351.29613.9887.947.3817.7274.23-1.145-2.972-2.946-3.588-55.6-62.6-39.6-42.8-35.8-28.9-24.5-19.6-16.6-15.3
Overige totale aandeelhoudersvermogen 466.313486.61498.428490.191481.406487.488476.278432.88405.753393.842429.22418.34461.129452.869445.13441.762450.319444.763440.349402.248390.788376.278335.117329.65322.724325.454346.6291.5187.4170.2162.3152.7147.6114112.7
Totaal eigen vermogen van aandeelhouders 415.364423.028462.386488.032548.645569.681547.48500.543520.259625.458581.054513.578497.846417.347368.022377.882360.664323.143350.438322.965313.961305.423293.954260.055186.339242.5269.8203.277.563.753.445.740.27.25.6
Totaal eigen vermogen 415.364423.028462.386488.032548.645569.681547.48500.543520.259625.458581.054513.578497.846417.347368.022377.882360.664323.143350.438322.965313.961305.423293.954260.055186.339242.5269.8203.277.563.753.445.740.27.25.6
Totaal passiva en aandeelhoudersvermogen 642.336714.875752.886709.192900.079915.854902.716798.183848.8931,020.122968.417994.541886.837737.342585.114713.679641.779627.669657.899590.114575.5542.256522.488507.443450.191504.5446.6282.5152.7110.890.375.553.539.731.7