Nufarm Limited

ASX:NUF.AX

2.28 (AUD) • At close June 2, 2025
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 0111.14107.43865.128-456.07938.31-15.588114.46727.51943.2237.70780.99972.594-49.851-23.9979.877137.915148.796121.153-1.55-2.074-1.826-0.943-0.575-0.869-0.02-0.2240.0657.27.226.643.8780.1311.3120.8091.181
Afschrijvingen & Amortisatie 0188.374213.68208.007208.031171.708120.5587.73185.02480.20880.81673.98565.48964.39757.54865.96247.4842.20918.82761.19964.80767.26456.71990.2840042.20324.50322.31519.44512.06510.5059.3947.2177.2224.894
Uitgestelde Inkomstenbelasting 00342.162-297.905140.817225.604000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 6.2785.854.6063.642.7961.5593.9044.7393.9564.3041.7824.5282.82900000000000000000000000
Verandering in Werkkapitaal 247.265-464.651-25.65132.264-375.127-129.032-295.209-195.301-42.844-104.21116.325-189.773-21.62400000000000000000000000
Vorderingen 00259.51849.01329.403-194.552-183.045-209.195-114.742-6.404-1.375-16.005-61.23100000000000000000000000
Voorraden 0130.614-684.57253.912-123.777-61.184-407.253-94.05561.841-131.954169.886-281.32939.60700000000000000000000000
Crediteuren 0-485.188390.55118.824-144.88252.948316.514137.896-20.984000000000000000000000000000
Overig Werkkapitaal 247.265-110.0778.85310.515-135.87173.756-21.425-29.94731.04134.148-52.186107.561000000000000000000000000
Overige Niet-Contante Posten 218.84833.667-321.118313.057248.048-210.018-104.962-202.198-112.543105.082149.574-92.19728.422139.849161.053-198.964-312.797-191.005-77.081-59.649139.941-65.438-5.067-24.51376.850.0230.33217.6115.141-9.20535.27211.97412.4267.079-8.031-6.074
Kasstroom uit Operationele Activiteiten 472.391-125.62321.118424.191-231.51498.131-88.16955.443137.375228.51268.09762.787166.505154.395194.611-53.125-127.40262.59862.89962.612202.674218.30150.70965.19675.981104.03172.31142.17844.65617.4653.97726.35821.95215.60800
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -127.192-129.628-160.917-142.487-168.903-174.638-192.799-151.246-141.978-110.905-104.128-96.103-81.889-68.016-91.404-102.574-130.72-86.097-84.739-63.987-51.31-49.305-48.667-62.453-71.278-53.096-68.829-45.431-24.461-26.75-24.451-21.275-12.367-30.48300
Netto Overnames 0-7.79-33.9650.781,283.6412.098-772.77539.9052.66502.088-18.076-48.9996.128-38.614-1.633-370.95104.433-28.61153.01-79.617-51.168-21.726-16.6852.96135.191-55.176-62.053-12.02-2.13-41.0825.2430-0.11700
Aankoop van Beleggingen -0.816-7.739-46.17-4.5920-1.44-778.85900000000-8.321000-162.469-6.399-0.202-9.35-6.024-15.842-94.006-128.138-50.959-0.705-1.884-0.925-2.568-1.032-0.61700
Verkoop/verval van Beleggingen 000-0.780-2.09800000000048.2570005.48213.7821.8071.88940.8782.941-30.2151.2651.2851.8021.0581.8881.2291.991.15900
Overige Investeringsactiviteiten -79.449-96.5740.6430.780.8542.0986.08410.5831.1036.8060.6891.0360.5911.181.498-47.9738.0861.3780.573-4.719.51144.5179.181-35.72-8.281113.022109.641.0964.991.7592.145-3.5310.4551.00700
Kasstroom uit Investeringsactiviteiten -207.457-241.731-240.409-146.2991,115.592-173.98-965.574-100.758-138.21-104.099-101.351-113.143-130.297-60.708-128.52-112.244-493.58419.714-112.777-172.674-114.033-54.351-68.673-80.004-89.499-29.104-141.238-156.062-30.395-27.947-62.425-20.902-10.954-29.05100
Financieringsactiviteiten:
Schuldaflossingen -125.223287.636-190.86650.7-651.57710.36743.10740.517-46.39847.663-136.444149.823-30.9419.201-153.14612.223452.502-215.38983.681212.141-109.715-111.19940.298-14.7830-60.27746.64145.273.8669.011-0.6618.2262.00526.35100
Uitgifte van Gewone Aandelen 000097000000000245.881330.455208.546244.91500.2757.8520.4632.1760.644018.4691.6145.6960036.63400000
Terugkoop van Gewone Aandelen 0000-97.5296.008436.4540000000000000000-0.115000000000000
Uitgekeerde Dividenden -53.277-56.451-40.158-10.229-17.135-34.086-50.22-45.249-40.375-37.602-35.276-34.002-26.696-17.355-48.494-75.116-80.458-61.635-46.429-41.044-34.457-28.658-27.87-27.7870-21.459-21.022-19.42-18.063-19.585-12.771-10.456-7.664-7.900
Overige Financieringsactiviteiten -22.265-45.205-33.342-21.288-1.471-2.288-16.911-0.747-2.876-1.536-6.558-16.569-26.9600-94.72800-0.897-1.578-1.08-0.891-3.241-4.24200.728-18.591.03700000000
Kasstroom uit Financieringsactiviteiten -200.765185.98-264.36619.183-670.683269.9941,112.43-5.479-89.6498.525-178.27899.252-84.5961.84644.241172.834580.59-32.10936.355169.789-87.4-140.28511.363-46.2830-62.5398.629172.581-14.197-10.57423.202-2.23-5.65918.45100
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -11.5636.6266.6933.226-32.5317.19911.895-6.889-18.20815.562-11.80224.759-7.12-9.4131.732.876-0.963-1.8710.4261.58-0.8330.683-2.4651.6740.725-0.9717.7070.0760.04-2.402-0.032-0.379-0.223-0.02800
Netto Kasstroomverandering 52.606-174.745-138.513300.301180.865211.34470.582-57.683-108.692148.498-23.33473.655-55.50886.12112.06210.341-41.35948.332-14.06461.3070.40824.348-9.066-59.41738.28911.417-42.59158.7740.105-23.46214.7222.8465.1164.98100
Kaspositie aan het Einde van de Periode 463.563410.957585.702724.215686.552505.687294.343223.761281.444390.136241.638264.972191.317246.825160.70548.64338.30279.66131.32945.835-15.472-15.88-40.228-31.16228.25521.16810.13555.616-2.971-3.36817.5942.815-0.028-5.58800