Nu Skin Enterprises, Inc.

NYSE:NUS

7.65 (USD) • At close September 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 8.595104.778147.266191.355173.553121.887129.437143.086133.046189.176364.888221.645153.33136.05189.84565.34743.87232.81774.03377.67467.87664.84350.31361.786.7103.993.681.740.2
Afschrijvingen & Amortisatie 69.672.50676.3273.99176.6583.00371.56472.39771.36554.92434.92333.41232.8529.61628.55730.39332.96729.13231.36628.66123.08421.60232.42637.60233.241245.42
Uitgestelde Inkomstenbelasting -18.09-51.6265.821-11.9141.965-14.92939.213-17.65217.36210.399-41.7484.6920.108-13.73512.351,7701.8361.83600-0.715-0.7470000000
Aandelen Gebaseerde Vergoedingen 15.64612.36723.19424.069.90926.60919.3148.897.417.50432.6221.35815.4510.8359.9897.2739.3019.3010.9070.7150.7150.7470000000
Verandering in Werkkapitaal -81.683-92.675-193.6252.564-132.435-71.88447.08928.32465.701-382.295140.5733.743-14.33921.435-4.831-18.115-36.315-14.4398.70124.01517.54125.999-5.994-55.914-89.7-43.1-2533.722.8
Vorderingen -22.679-11.44920.219-11.2072.746-10.453-0.1033.357-2.24630.766-34.304-7.884-5.89-6.649-7.0437.069-2.786-2.786-0.6263.863.86-1.1270000000
Voorraden -13.22240.314-95.32-31.13718.446-33.3717.5379.80159.652-16.518-207.436-22.6052.415-4.2939.74-14.91-12.3120.163-11.925-4.1364.968-4.051-2.243.736-2.1-3.6-7.6-12.2-17.1
Crediteuren -10.0839.263-13.27924.836-7.184-9.1646.83413.443-4.297-45.95332.64315.8316.077-0.5683.602-6.1390.1180.118-4.9060.8240.824-1.1040000000
Overig Werkkapitaal -35.699-130.803-105.2470.072-146.443-18.89632.8211.72312.592-350.59349.66748.401-16.94132.945-11.13-4.135-21.335-11.93426.15823.4677.88932.281-3.754-59.65-87.6-39.5-17.445.939.9
Overige Niet-Contante Posten 124.57162.71282.60149.08548.28958.052-4.06240.21827.23553.828-1.077-3.87436.9163.681-1.966-1,751.591-3.00817.148-0.907-0.7150.525-1.328-2.32800.116.80.10.40
Kasstroom uit Operationele Activiteiten 118.639108.062141.582379.141177.931202.738302.555275.263322.109-56.464530.176310.976224.315187.883133.944103.30748.65375.795114.1130.35109.026111.11674.41743.38830.3118.692.7121.265
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -58.49-59.056-68.615-63.823-66.067-70.371-60.156-50.221-56.622-101.476-185.103-96.645-41.809-53.783-20.215-16.007-22.736-37.661-30.884-34.996-23.518-19.026-15.126-23.03-43.3-47.1-7.4-5.7-5.4
Netto Overnames -77.2758.023-18.963-14.949-8.073-38.506-31.745-8.6920012.562-12.562-11.6630001.9811.98100000000000
Aankoop van Beleggingen -16.883-13.955-16.242-14.693-8.432-11.42-11.332-17.08-15.75-17.522-21.671-15.737-24.3610-13.91-13.91-136.75-173.925-160.38-198.198000000000
Verkoop/verval van Beleggingen 18.1475.93215.09414.03711.1611.53611.26918.13211.52627.32813.07520.0866.634019.13519.135131.525173.925170.61185.015000000000
Overige Investeringsactiviteiten 1.264-8.023-1.148-0.6562.7280.116-0.0631.052-4.2249.806-12.562-8.213-11.6630-5.2250-1.981-1.981-5.54800-7.50500.06-0.71-13.3-5.4-0.7
Kasstroom uit Investeringsactiviteiten -134.501-67.079-88.726-79.428-71.412-108.761-91.964-57.861-60.846-91.67-193.699-104.858-71.199-53.783-20.215-10.782-27.961-37.661-26.202-48.179-23.518-26.531-15.126-22.97-44-46.1-20.7-11.1-6.1
Financieringsactiviteiten:
Schuldaflossingen -100-434.419-116.871-143.209-214.455-552.5-103.226-177.57-35.508-333.803-37.903-28.279-28.001-37.401-30.188-32.711-33.112-13.389000-18.1390000000
Uitgifte van Gewone Aandelen 4.561005.7640593.17524.44314.30739.532413.7683.37106.48729.71351.181005.7315.46.17716.6278.8921.2610.8050.2942.92098.80
Terugkoop van Gewone Aandelen -13.011-70.045-80.42-144.334-0.825-69.565-71.731-247.208-164.094-45.724-140.865-201.471-67.149-58.516-21.144-6.094-71.1-67.452-24.638-72.311-150.009-18.139-18.139-12.765-26.9-10.5-20.300
Uitgekeerde Dividenden -77.622-77.015-76.272-78.387-82.189-80.581-76.058-78.438-81.187-81.371-70.514-48.374-36.638-31.189-29.006-27.94-27.145-27.791-25.408-22.627-21.851-19.593-16.4310000-47.1-12.2
Overige Financieringsactiviteiten -3.198481.975168.861115142.675-7.24391.44313.3625.3376.06245.1877.75-4.9366.9087.3284.05167.99428.61412.926-16.2417522.120-52.821-49.5-40.2-71.4-153.3
Kasstroom uit Financieringsactiviteiten 10.73-99.504-104.702-245.166-154.794-116.714-159.572-134.714-235.92-41.076-120.725-163.887-107.011-69.017-73.01-62.694-57.632-74.618-30.943-94.552-87.968-32.49-33.765-65.292-73.5-48.7-91.736.7-8.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -3.536-16.347-11.24412.506-3.006-16.75118.134-14.796-24.404-47.528-10.6244.82-3.4687.2092.74-2.5722.9142.428-11.411-0.3224.687-7.677-13.599-1.2928.5-9.3-21.1-2.9-3.1
Netto Kasstroomverandering -8.668-74.868-63.0967.053-51.281-39.48869.15367.8920.939-236.738205.12847.05142.63772.29243.45927.259-34.026-34.05645.544-12.7032.22744.41811.927-46.166-78.614.5-40.8143.946.9
Kaspositie aan het Einde van de Periode 256.057264.725339.593402.683335.63386.911426.399357.246289.354288.415525.153320.025272.974230.337158.045114.58687.327121.353155.409109.865122.568120.34175.92363.996110.2188.8166.3207.163.2