Nucor Corporation

NYSE:NUE

116.61 (USD) • At close December 23, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 4,524.8018,079.647,122.37836.0281,370.912,481.0841,380.571900.416496.084815.79585.529593.126860.984206.323-237.1781,830.991,471.9471,757.6811,310.2841,121.48562.781162.08112.961310.908244.6263.7294.5248.2274.5226.6123.579.264.775.157.8
Afschrijvingen & Amortisatie 1,168.3151,061.634864.563785.466734.653719.637727.061687.054700.017724.423610.208607.021590.4582.602566.423548.907427.556363.936375.054383.305364.112307.101289.063259.365256.6253.1218.8182.2173.9157.7122.397.893.68576.6
Uitgestelde Inkomstenbelasting 21.419-46.84911.665162.83699.1573.017-221.17370.777-82.51890.86456.564-25.27458.051138.26288.546-293.476-81.206-38.91-29.3796.69374.331.21119.410.6-1-4-8-15-21-3-473.5
Aandelen Gebaseerde Vergoedingen 130.162136.834135.77573.85390.35973.42264.17656.51145.79446.38447.4550.73349.00343.04154.66549.8730000000000000000000
Verandering in Werkkapitaal 858.406692.682-1,862.89204413.27-983.164-907.00620.93743.03-400.189-235.213-86.107-535.869-128.906707.041-71.397-202.471-83.994313.741-596.328-5.139-122.348-0.72477.8067.423.7-69.3-54.3-61.324.915.38.2-717.6-48.1
Vorderingen 663.825501.225-1,392.084-129.29361.34-485.433-329.501-208.984655.489-179.181-103.649148.113-274.92-310.188141.104855.5720000000000000000000
Voorraden -75.042962.424-2,307.336284.081712.645-1,092.101-900.946-132.639593.83-45.963-298.074-65.655-433.696-231.9131,117.6-364.28-102.49-143.971337.862-635.64128.973-58.37226.3033.832-29.1-38.8-11.2-79-63.7-28-8.6-20.3-49.42.8-16.2
Crediteuren 361.146-496.234383.428250.561-253.457235.572314.817228.036-438.788-111.85939.489-111.49663.571186.417170.229-861.3340000000000000000000
Overig Werkkapitaal -91.523-274.7331,453.102-201.352-407.258358.7988.624134.517-67.501-63.186127.021-57.069109.176226.778-721.892298.645-99.98159.977-24.12139.313-34.112-63.976-27.02773.97436.562.5-58.124.72.452.923.928.542.414.8-31.9
Overige Niet-Contante Posten 408.828148.113-40.707634.694101.06499.9567.6341.845254.63665.62613.41160.88610.04332.0822.8433.83125.98233.31343.88722.067-20.97639.71882.8152-0.1-0.146.9-0.126.917.79.723.226.129.68.2
Kasstroom uit Operationele Activiteiten 7,111.93110,072.0546,230.7762,696.8772,809.4132,393.9521,051.2631,737.5332,157.0431,342.8981,077.9491,200.3851,032.612873.4041,182.2972,498.7281,935.3062,251.2332,136.6151,029.718494.62497.22495.115820.755604.8641.9577.3450.6447.2424.9271.8205.4173.4214.398
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,214.157-1,947.897-1,621.989-1,543.219-1,477.293-982.531-448.555-604.84-374.123-667.982-1,196.952-947.608-440.502-345.294-390.5-1,018.98-520.353-338.404-331.466-285.925-215.408-243.598-261.146-415.405-374.7-502.9-306.7-537.4-263.4-185.3-364.2-379.1-217.7-56.8-130.2
Netto Overnames -70.824-3,453.768-1,426.661-132.498-61.349-154.475-603.041-402.955-99.498-866.422-85.053-941.305-49.909-498.794-96.283-1,826.03-1,542.666-223.92-154.864-169.646-34.941-652.689-121.904000000000000
Aankoop van Beleggingen -1,471.528-913.898-493.889-488.517-367.741982.531-50-650-111.927-100-19.349-409.403-2,059.776-1,323.264-261.389-1,010.136-518.83-1,116.70200000000000000000
Verkoop/verval van Beleggingen 1,317.308590.173648.887392.17867.70150150600111.45227.52992.7611,667.1421,863.407394.6436.389499.7091,717.078529.10500000000000000000
Overige Investeringsactiviteiten -57.2322.68119.87.76244.491-925.59432.70432.67732.4168.813368.623427.17925.333-489.65311.37134.7518.6342.177-41.151-79.364-17.232-5.12522.655.1280.42.90.71.60.95.21.32.10.50.91.3
Kasstroom uit Investeringsactiviteiten -2,496.431-5,702.709-2,873.852-1,764.294-1,794.191-1,030.069-918.892-1,025.118-441.696-1,438.062-839.97-203.995-661.447-2,262.365-700.412-3,320.686-856.137-1,147.744-527.481-534.935-267.582-901.412-360.4-410.276-374.3-500-306-535.8-262.5-180.1-362.9-377-217.2-55.9-128.9
Financieringsactiviteiten:
Schuldaflossingen -34.87922.292246.8071,135.9474.574500.747-565.128-33.36-172.116172.95748.429-622.055-11.451,204.553-187.308832.9411,247.374-1.250209348.107017547.314.846.3-66.3-179.2105.5172.243.8-127.342.8
Uitgifte van Gewone Aandelen 00011.84616.14524.10111.14515.75105.614010.5158.0974.6873.7161,996.6912.00337.23340.20968.6318.96118.83210.414.7375.26.67.87.19.79.58.55.65.43.63.9
Terugkoop van Gewone Aandelen -1,553.933-2,762.568-3,276.088-39.499-298.541-853.997-90.304-5.173-66.505000000-123.96-754.029-599.446-291.2440000-398.728-14.8-3200-0.20-0.2-0.100-0.1
Uitgekeerde Dividenden -514.534-533.589-483.469-491.655-492.062-485.376-485.321-481.083-479.432-475.123-471.028-466.361-461.518-512.662-633.342-658.051-726.139-577.816-209.752-159.496-62.654-59.383-52.863-48.213-45.4-42.1-35.2-28.1-24.5-15.7-13.9-12.1-11.2-10.3-9.4
Overige Financieringsactiviteiten -489.474-136.998-90.129-318.939-94.381-93.652-104.548-122.488-72.122-62.488-81.357-68.976-30.151-60.13-3.1-264.475-250.086-156.709-89.886-80.058-61.018-146.701-120.491-119.883-87.1-96.4-79.8-37.5-3.515.2-7.1-6.8-7.6-5.3-0.1
Kasstroom uit Financieringsactiviteiten -2,592.811-2,510.863-3,602.879285.854-880.41-908.177-1,238.231-613.966-789.751-359.047196.044-1,146.877-495.022691.828-820.0341,783.145-470.877-1,297.988-550.673-66.066-95.711160.848-162.944-492.08732.9-116.6-92.4-12.2-84.8-170.292.8158.830.4-139.337.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.883-5.92-0.3161.8870.907-5.9249.0038.043-10.271-4.897-3.6332.704-0.9045.55800000000000.1-141.9-271.385.2-184.7-244.891.1171.643.8-158.430.9
Netto Kasstroomverandering 2,025.5721,852.562-246.2711,220.324135.719449.782-1,096.857106.492915.325-459.108430.39-147.783-124.761-691.575-338.149961.187608.292-194.4991,058.461428.717131.327-243.344-28.228-81.609263.5-116.6-92.4-12.2-84.8-170.292.8158.830.4-139.337.1
Kaspositie aan het Einde van de Periode 6,386.7924,361.222,508.6582,754.9291,534.6051,398.886949.1042,045.9611,939.4691,024.1441,483.2521,052.8621,200.6451,325.4062,016.9812,355.131,393.943785.6511,837.51779.049350.332219.005462.349490.576572.2166.812189.617.1-142.9118.3197.182-106.763.5